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Job Description
- Cash Management: Daily cash positioning, cash flow forecasting, funding transfers, and pooling cash for investments.
- Transaction Processing: Executing and confirming payments, inter-bank transfers, investments, and ensuring timely settlements.
- Reconciliation: Reconciling bank statements, trading activity, and ledger balances.
- Risk Management: Managing foreign exchange (FX) exposures, margin calls, and assessing interest rate/liquidity risks.
- Banking & Relationships: Managing bank accounts, credit facilities, and relationships with financial institutions.
- Reporting & Compliance: Preparing reports for management, ensuring compliance with covenants, and maintaining accurate records.
- Process Improvement: Participating in projects to enhance treasury systems (TMS) and operational efficiency.
Job Requirements
- 1-3 years of relevant experience in treasury, finance, or accounting roles.
- Bachelor’s degree in Finance, Accounting, Business Administration, or a related field.
- Strong understanding of treasury principles, cash management, and financial markets.
- Proficiency in treasury management systems and online banking platforms.
- Analytical skills for forecasting, risk assessment, and reconciliation.
- Attention to detail for accurate transaction processing and reporting.
- Communication skills for interacting with banks and internal teams.
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