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Job Description
Job Purpose:
Assist in daily treasury operations in an efficient and effective manner that contributes in achieving department objectives.
Key Responsibilities:
- Maintain strong relationships with banking partners and internal stakeholders across multiple function
- Ensures efficient and effective payments process (through E-payment ACH or cheques, wire transfers).
- Making ERP payment step for cheques. and internal transfers.
- Recording the required entries.
- Updating the Cheque master sheet and ensure that cheque books are in order also cancelled cheques are attached properly
- Making the bank reconciliation monthly to ensure fairness of presentation of financial statements.
- Ensures that bank expense, interest, revenue is calculated properly.
- Provide complete documentation of treasury entries (hard copy)
- Making the required treasury accounts analysis.
- Acknowledging the collection process and coordinating with different departments for collection entries.
- Ensures accurate archiving of bank statements and other bank correspondences.
- Ensures efficient payment cycle for trade finance issues (CAD, LC, LGs).
- Preparation of the required bank forms (LC opening, collection of documents, ….)
- Assist in preparation of weekly cash position.
- Assist in updating treasury express balances
- Performing the required tasks related to treasury operations outside Egypt.
- Replacement for cashbox activities.
Job Requirements
- Years of experience 1: 3 years in treasury.
- Bachelor's degree in accounting.
- Intermediate in English
- Computer skills: MS Office / ERP
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