للتقدم للوظيفة : رابط الوظيفة من هنا.
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- Manage daily cash operations, including monitoring bank balances, cash positioning, and liquidity requirements.
- Prepare and execute payments, ensuring compliance with internal controls and authorization protocols.
- Reconcile bank statements and resolve discrepancies in a timely manner.
- Monitor and forecast cash flows to support business operations and strategic planning.
- Coordinate with banks for treasury transactions, including deposits, loans, and foreign exchange operations.
- Maintain accurate records of all treasury activities and ensure proper documentation.
- Support month-end and year-end closing processes by providing treasury-related data and reports.
- Assist in the development and implementation of treasury policies, procedures, and best practices.
- Collaborate with internal departments to optimize cash management and working capital.
- Prepare regular treasury reports and analysis for management review.
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