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Job title: Treasury Specialist - Shared Service Center
Overview: Treasury Specialist supports daily treasury activities such as bank reconciliations, payment processing, and cash management. They assist with FX transactions, ensure banking compliance, and accurately record treasury operations in the ERP system.
Key Responsibilities:
• Prepare daily bank reconciliation within all banks.
• Following up on banking documents & transfers.
• Revising Payment requests on daily basis.
• Book Payments on online banking.
• Manage and control banks operations.
• Following up on banks requirements.
• Performing FX transaction.
• Performing Cash management operations.
Qualifications:
• Education: Bachelor's degree in accounting or relevant field.
Experience / Skills:
• 1-2 years of experience
• Proficient command of English language.
• Good communication and organizational skills.
• Knowledge of ERP and MS office proficiency is a plus.
• Strong sense of ownership and accountability for completing tasks accurately and on time
Job ID: 140431291
Skills:
regulatory knowledge, ERP Systems, Banking Portals, Trade Finance
Skills:
liquidity analysis , Treasury Management, XRT, Sage, Cash Management, KYRIBA
Skills:
Reconciliation, Transaction Follow-up, Cash Flow Forecasting, Banking Operations, Account Management, Advanced Excel skills
Skills:
Microsoft Excel, Treasury Management Systems, ERP systems, Banking Products, Cash Management, Powerpoint, corporate finance