للتقدم للوظيفة : رابط الوظيفة من هنا.
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- Manage daily interactions and communications with banks to ensure smooth execution of treasury operations.
- Negotiate and secure banking facilities (such as overdrafts, loans, and credit lines) to support the company’s financing needs.
- Build and maintain strong relationships with financial institutions to optimize banking terms and services.
- Analyze daily bank’s statements and reflecting / validation of debit and credit interest calculations per each bank & related pricing rate.
- Process all cash transactions related to deposits, withdrawals & foreign currency exchanges in line with business needs.
- Bank reconciliations and resolve unreconciled items for end of month closing.
- Preparation of cash position daily report & Position of credit facilities such as ( Overdraft, MTL,...)
- Preparing payment plans for each bank facility through related agreement & collection mechanism.
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