Senior Treasury Accountant

 

  • Cash and Liquidity Management:
  • Monitoring daily cash balances and cash flow management.
  • Executing payments and transfers.
  • Preparing cash flow forecasts to ensure the company has sufficient funds for its operations.
  • Manage intercompany funding, loan arrangements, and settlements.
  • Monitor bank account balances, ensuring adequate liquidity.
  • Manage foreign exchange transactions.

 

 

  • Banking & Payments:
  • Maintaining and managing relationships with banks.
  • Handle daily operation with banks (Cheques; LCs; LGs; Cash; Transfers…etc)
  • Ensure timely processing of payments.
  • Prepare journal entries and reconciliations.

 

 

  • Financial Reporting:
  • Prepare accurate and timely financial reports related to treasury activities.
  • Assist with the preparation of financial statements and regulatory filings.
  • Analyze financial data and provide insights to management.
  • Perform other financial responsibilities as and when required.

 


4 – 5 yrs Experience in treasury management & accountingExperience with cash management, cash forecasting, and bank reconciliations.
Post date: Today
Publisher: Wuzzuf .com
Post date: Today
Publisher: Wuzzuf .com