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Trésorier – Gestionnaire de trésorerie

LAM'S GROUP · Abidjan

🇫🇷 Français

Job description

About the role

We are looking for a Treasury Manager to oversee the company’s liquidity, foreign‑exchange positions and cash‑flow optimisation in Abidjan. The role will ensure that cash surplus is efficiently invested and that market developments are continuously monitored.

Key responsibilities

  • Manage daily liquidity and maintain optimal cash balances.
  • Monitor and manage foreign‑exchange and interest‑rate exposures.
  • Optimize the placement of cash surpluses to maximise returns.
  • Track financial‑market movements and provide timely analysis.
  • Prepare reports on treasury performance and risk metrics.

Required profile

  • University degree at least BAC+4 (equivalent to a bachelor’s or master’s level).
  • Strong understanding of financial markets and treasury operations.
  • Experience analysing FX and interest‑rate risk.

Required skills

  • Proficiency with treasury management tools.

Questions fréquentes

Le salaire n'est pas communiqué publiquement par le recruteur. Vous pouvez postuler et négocier directement avec LAM'S GROUP.
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Published 1 month ago

Expires 4 weeks from now

16 views · 0 interested

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LAM'S GROUP

Abidjan