للتقدم للوظيفة : رابط الوظيفة من هنا.
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- Manage daily treasury operations, including cash flow monitoring, bank reconciliations, and liquidity management.
- Process and record all banking transactions, ensuring accuracy and compliance with internal controls.
- Prepare and analyze cash flow forecasts to support business planning and financial decision-making.
- Coordinate with banks to facilitate payments, collections, and resolve any banking issues efficiently.
- Monitor and report on company bank balances, investments, and loan facilities.
- Assist in the preparation of monthly, quarterly, and annual financial reports related to treasury activities.
- Support internal and external audits by providing necessary documentation and explanations for treasury transactions.
- Ensure compliance with company policies, financial regulations, and best practices in treasury management.
- Collaborate with other departments to optimize working capital and support business operations.
- Identify opportunities for process improvement in treasury and banking functions to enhance efficiency and control.
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