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Job description
Role Purpose :
To support the day-to-day Treasury Operations by ensuring accurate and timely execution of cash and banking transactions, maintaining proper bank records and documentation, supporting bank reconciliations, and assisting in effective cash-flow management while maintaining strong financial controls and compliance with company policies.
Key Responsibilities :
1. Treasury Operations
- Execute daily treasury transactions in accordance with approved company procedures.
- Process bank transfers, payments, deposits, withdrawals, and other banking transactions.
- Ensure all treasury transactions are properly authorized and supported by the required documentation.
- Follow up on pending bank transactions and resolve operational issues promptly.
- Maintain accurate records of all cash and bank transactions.
2. Bank Reconciliation & Monitoring
- Support the preparation of daily/weekly bank reconciliations.
- Match bank statements with company records and identify any discrepancies.
- Investigate and follow up on outstanding or unidentified transactions.
- Ensure timely recording and clearance of bank-related transactions.
3. Cash Management
- Monitor daily cash and bank balances.
- Support the preparation of daily cash position reports.
- Assist in ensuring sufficient liquidity is available to meet operational payment requirements.
- Coordinate with the Finance and Accounting teams regarding upcoming payments and cash requirements.
4. Banking Relations
- Follow up with banks regarding transfers, deposits, payment confirmations, and other banking activities.
- Maintain proper records of bank correspondence and transaction confirmations.
- Support the preparation of documents required by banks.
5. Documentation & Controls
- Maintain organized and accurate treasury files and transaction documentation.
- Ensure compliance with company financial policies, procedures, and internal controls.
- Support audit requirements by providing accurate treasury documentation when requested.
- Maintain confidentiality of financial and banking information.
6. Reporting
- Prepare regular treasury reports as requested by the Treasury Manager / Finance Manager.
- Provide accurate information regarding cash balances, bank transactions, and outstanding items.
- Escalate any unusual transactions, discrepancies, or potential risks to the direct manager.
7. Cross-Functional Coordination
- Coordinate with Accounting, Accounts Payable, Procurement, HR, and other departments regarding payment requirements.
- Ensure smooth flow of information and documentation between Treasury and other Finance functions.
Qualifications :
Education
- Bachelor's degree in Accounting, Finance, Commerce, or a related field.
- Additional banking or finance certifications are an advantage.
Experience
- 1-2 years of relevant experience in Treasury, Banking Operations, Finance Operations, or a similar role.
- Previous experience in FMCG or manufacturing is preferred.
Technical Skills
- Good understanding of:
- Banking transactions
- Bank reconciliation
- Cash management
- Payment processing
- Basic accounting principles
- Treasury documentation and controls
- Good Microsoft Excel skills.
- Experience with ERP systems is preferred.
Behavioral Competencies
- Strong attention to detail.
- High level of accuracy and responsibility.
- Good numerical and analytical skills.
- Strong follow-up and organizational skills.
- Ability to work under pressure and meet deadlines.
- Good communication and coordination skills.
- High level of confidentiality and integrity.
- Problem-solving mindset.
- Ability to work effectively within a team.
Location & Availability
- Candidates residing in 10th of Ramadan City or nearby areas are preferred.
- candidates are preferred.
- Ability to work from the company's location in 10th of Ramadan City.
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