Senior Treasury Accountant

Confidential - مصر - القاهرة

Job Purpose
The Senior Treasury Accountant is responsible for managing daily cash operations, monitoring bank balances, preparing short- and medium-term cash forecasts, and ensuring compliance with treasury policies. The role also involves liaising with banks, managing liquidity, and supporting the finance team with treasury-related analysis and reporting
Key Accountabilities

  • Manage daily cash operations and ensure liquidity to meet company obligations
  • Prepare daily, weekly, and monthly cash flow reports
  • Coordinate with banks to execute financial operations (transfers, LCs, LGs, etc.)
  • Monitor and reconcile bank account balances regularly
  • Implement and ensure compliance with the company’s treasury policies
  • Develop and maintain accurate short- and medium-term cash forecasts in coordination with relevant departments
  • Provide financial analysis and reports to support management decisions
  • Track loan agreements, repayment schedules, interest calculations, and related commitments
  • Support internal and external audit processes with all treasury-related documentation
  • Maintain strong relationships with banking partners and negotiate favorable terms

Key Duties

  • Record daily treasury transactions accurately in the accounting system
  • Execute local and international bank transfers in a timely and secure manner
  • Review collection and payment activities and ensure proper documentation
  • Track Letters of Credit and Letters of Guarantee
  • Prepare monthly bank reconciliations and match them with general ledger balances
  • Maintain organized documentation for all treasury-related transactions
  • Update databases for payment schedules and company cash obligations
  • Coordinate with the accounts payable and receivable teams on payment processing
  • Monitor payroll transfers and related treasury activities
     

Bachelor’s degree in Accounting, Finance, or a related field.Minimum of 5 years of accounting experience, with at least 2 years in treasury or cash managementProficiency in banking systems and electronic payment platformsGood command of English (reading, writing, and speaking)Solid knowledge of banking regulations and financial instrumentsAdvanced proficiency in Microsoft Excel and ERP systems (e.g., SAP, Oracle)
تاريخ النشر: ٢١ أكتوبر ٢٠٢٥
الناشر: Wuzzuf .com
تاريخ النشر: ٢١ أكتوبر ٢٠٢٥
الناشر: Wuzzuf .com