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Job Description

Responsibilities

  • Perform daily monitoring of bank balances and liquidity across all group bank accounts and entities.
  • Execute cash positioning and manage day-to-day cash utilization to ensure adequate funding across entities.
  • Prepare and update daily bank position reports for management review.
  • Track expenses incurred through bank accounts and corporate credit cards, ensuring availability of supporting documentation.
  • Coordinate with internal teams to obtain expense details, clarifications, and supporting documents as required.
  • Verify payment details, approvals, and supporting documentation prior to payment release.
  • Ensure timely and accurate processing of local and cross-border payments through banking portals.
  • Coordinate directly with banks on routine operational matters and queries.
  • Prepare, maintain bank documentation and KYC forms.
  • Review bank statements, monitor bank charges and investigating discrepancies.
  • Support operations teams with treasury related requirements on an ongoing basis.
  • Support compliance with internal treasury policies, procedures and audit requirements.

Qualifications

Relevant degree in Financial Analysis.

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About Company

Job ID: 143989623