Treasury Accountant

BituNil - Egypt - Cairo
1Monitoring daily collection and report it to CFO
2Ensure that all cash and checks receipts are collected on timely basis.
3Review cash register.
4Ensure completeness of collection.
5Ensure that cash account exists and is accurate.
6Approve the request of payable settlement before CFO approval.
7Review and monitor LC and LG on daily basis.
8Review and monitor daily cash / bank balance.
9Review and monitor notes payable.
10Ensure that daily collection in all locations is deposited on daily basis.
11Prepare weekly and monthly cash flow.
12Ensure that all original documents are stamped paid after issuing the check.
13Monitor and review facilities lines.
14Monitor and review bank charges and interest and work to reduce financing cost.
15Report banks charges on daily basis to CFO.
16Ensure that periodic bank reconciliations are completed.
17Ensure that required debt payments are made on a timely basis.
18Prepare monthly banks reconciliation and present it to CFO maximum by the seventh working day of the next month.
19Review and maintain the clients credit files and make sure that all files are completed according to the company credit policy.
20Manage daily relationships with financial service providers.
21Manage, direct and develop cash management staff.
22Forecast daily cash requirements and execute daily financing decisions.
23Additional duties as directed by CFO.

BSc in Accounting, Finance or relevant degreeWork experience as Treasury Accountant for at least 3 years.Hands-on experience with accounting software.Advanced MS Excel skills including Vlookups and pivot tables.Strong attention to detail and good analytical skills.
Post date: Today
Publisher: Wuzzuf .com
Post date: Today
Publisher: Wuzzuf .com