Treasurer - Agricultural Sector
To support the growth of our agricultural companies, we are seeking a Treasurer. Their main responsibilities will be :
- managing the daily and forecasting of cash flow for the Group's agricultural companies
- consolidating bank positions, anticipating liquidity needs related to seasonality, proposing and implementing (after approval) optimization solutions (cash management, investments, short-term financing), and ensuring the security of cash flows, payments, and data
- ensuring the availability of cash (short and medium term) and preventing any risk of liquidity pressure, organizing and ensuring the reliability of cash flow management (receipts/disbursements), bank positions, and reconciliations
- establishing, updating, and challenging cash flow forecasts and contributing to the cash budget
Position based in Casablanca.
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