The Corporate Risk & Cash Specialist supports Buckman’s enterprise value growth by ensuring effective cash, liquidity, and risk management across the organization
Job Summary
The Corporate Risk & Cash Specialist supports Buckman’s enterprise value growth by ensuring effective cash, liquidity, and risk management across the organization.
This role provides cost‑efficient financial resources to the business, safeguards corporate assets, and minimizes financial risks through disciplined cash, banking, foreign exchange, and insurance administration.
Treasury enables strong free cash flow, financial stability, and alignment with Buckman’s strategic objectives.
Matching Summary
The Corporate Risk & Cash Specialist supports Buckman’s enterprise value growth by ensuring effective cash, liquidity, and risk management across the organization.
Skills & Requirements
Must-have
cash and banking operations management
liquidity and cash forecasting
treasury and risk management
banking services and relationship management
audit, controls and compliance
Nice-to-have
strong collaboration and stakeholder management skills
sound judgment and risk-aware decision-making
high ownership and accountability
experience with treasury systems and banking platforms
Key Requirements
Semi-qualified or qualified Cost Accountant / Chartered Accountant
Master’s degree in accounting, Finance, Treasury, or related field
6–10 years of relevant experience in corporate treasury and financial risk management
Exposure to multinational or global treasury environments