Treasury Assistant Manager

مصر - القاهرة

Reporting:

Act as a primary business partner to other finance departments in supporting general accounting functions in:

  • Monthly closing process and bank reconciliations
  • IFRS Report
  • Audit requirments
  • Tax inspection assignements 
  • Any other ad hoc reports

Lead the recurring daily and monthly Reports:

  • Cash Flow projections.
  • Daily Cash Position
  • HQ cash flow analysis
  • Interest calculations
  • Accruals analysis
  • Financial Expenses variance analysis (Plan, Forecast and Last Year) 

Bank Facilities Management

  • Support the group Treasury manager in managing the authorized lines of credit with banks and reviewing facilities contacts
  • Maintain up-to-date reports for borrowings, bank facilities loans, overdraft accounts and control the Drawdowns and pay-off on it’s due dates to secure the cash and minimize the interest rate
  • Establish and maintain a strong and competitive working relationship with all banks to ensure achievement of company’s goals related to growth 

Handling day to day operations:

  • proceeding with all payments and following up with banks to ensure timely execution
  • Coordinate the issuance and renewal process of letters of credit, letters of guarantee and ensure compliance with company’s policies and procedures
  • Reviewing all incoming / issuing letter of Guarantee conditions / expiries to secure the company rights
  • Reviewing all incoming / issuing letter of credit conditions / terms to secure the company rights.
  • Ensure that transactions in the treasury management system on ERP are recorded and maintain it up-to-date

A minimum of 5 years in a relevant role in an FMCG companyCTP is a plus
تاريخ النشر: اليوم
الناشر: Wuzzuf .com
تاريخ النشر: اليوم
الناشر: Wuzzuf .com