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sukoon insurance

Manager, Accounts Payable and Cash Management

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  • Posted 6 days ago
  • Be among the first 10 applicants
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Job Description

Job Purpose:

Manage accounts payable and cash management function key processes and controls. Drive the process transformation project/s to improve efficiency and be aligned to the overal company strategic goals.

Accountabilities:

Accounts Payables

  • Manage all accounts payable transactions to clients, brokers, suppliers etc as per the company guidelines and SLAs agreed.
  • Take appropriate action and resolve/attend to complaints and issues raised by both external and internal parties in relation to AP and Cash Management function
  • Conduct regular reviews of the AP ageing balances to ensure timely settlement of payments
  • Manage relations with other internal departments to discuss/resolve any issues/complaints raised by different stakeholders
  • Collates and extracts data, produces & presents routine reports, dashboards, schedules and letters for customers, suppliers and internal departments.
  • Manage monthly closing processes including reconciliations of A/P accounts and proper coding in G/L within set timelines.

Cash Management

  • Prepare and monitor cash flow forecasts. Coordinate with investments team for any short term borrowing required
  • Conduct random reviews on the daily reconciliation prepared by the cashiers and take corrective action in case of discrepancies
  • Actively coordinate with compliance department to ensure branch cashiers adhere to set KYC requirements e.g cash limits for individual collections
  • Manage and execute all receipt cancellations in the system where accurate and clear explanations for cancellations are provided.
  • Manage the negotiation of FX deals with the banks at transaction level. i.e Bloomberg rates vs. bank rate
  • Review the daily bank balances and advice the management on any concentration risks and provide solutions to mitigate the risks
  • Manage inter-account funds transfers i.e USD to AED or vice versa.
  • Conduct random reviews on the petty cash submissions made by the branches to ensure that the petty cash policy is adhered to and raise concerns where necessary.
  • Participate in budget preparation process. Throughout the year, monitor spending(for expenses like bank charges, trade credit fees etc) and recommend cost saving considerations
  • Manage opening and closing of operating of bank accounts

Skills Required:

  • Time Management, Networking
  • Strong leadership, communication (written and verbal) and influencing skills
  • Analytical and problem solving capability
  • Demonstrate a high level of motivation, initiative and a drive to succeed.
  • Functional understanding of accounts payable and cash management as well as the related general ledger accounting codes
  • Ability to performs a variety of tasks.
  • Solid team management capabilities
  • Creativity and latitude is required.
  • Knowledge on Microsoft office applications (Excel, Power point, Visio, Power Bi etc.)

Education, Experience and Formal/Professional Qualifications:

  • Bachelor's degree in Accounting and/or Finance
  • Minimum experience of 5 years in similar role
  • Understanding of Oracle Finance system
  • Professional qualification/certification in treasury would be an added advantage

More Info

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About Company

Job ID: 145333147

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