Key Responsibilities:
- Daily Cash Management:
Prepare accurate daily cash position reports and ensure proper tracking of inflows and outflows. - Cash Flow Monitoring:
Oversee daily cash movements to maintain sufficient liquidity for operational needs, vendor payments, and postponed checks. - Receivables & Collections:
Coordinate with the sales team to monitor collections and ensure timely receivables, supporting overall working capital efficiency. - Banking & Treasury Operations:
Manage multiple bank accounts, custody transfers, and treasury systems; maintain proper documentation and reconcile accounts regularly. - Forecasting & Planning:
Develop short- and long-term cash flow forecasts that align with business cycles, procurement plans, and supply chain operations. - Compliance & Controls:
Ensure adherence to company treasury policies, financial procedures, and internal controls. Recommend improvements to strengthen treasury efficiency and compliance. - Reporting & Analysis:
Provide regular treasury reports to management and support decision-making with analytical insights and variance analysis.
Bachelor’s degree in Accounting, Finance, Economics, or a related field.5–7 years of progressive experience in Treasury Management.Proficiency in Microsoft Excel is a must.Strong analytical and problem-solving abilities.Excellent communication and coordination skills.High attention to detail and accuracy in financial reporting.Experience working in a retail environment is preferred.Proficiency in ERP Accounting systems is a must.