Senior Treasury Officer

  • Prepare Cash and bank positions on daily basis.
  • Timely follow ups with the banks regarding statements and pending issues.
  • Record Bank profits & Bank charges into ERP of all bank accounts.
  • Prepare Bank reconciliations.
  • Prepare summary of direct deposits and ensure all direct deposit to be recorded in the same month.
  • Responsible for facilitating internal and external audit of bank reconciliations.
  • Keep, update and satisfy compliance for bank accounts include addition/removal of authorized signatories, Board members, and Directors.
  • Any other task assigned by the line manager as and when required

Required Skills

  • Understanding of basic Accounting concepts.
  • Proficient in using Microsoft Excel
  • Excellent analytical and numerical skills
  • Time management and detail oriented.
  • Excellent oral and verbal communication skills.
  • Good understanding of Bank Reconciliation process and handling of compliance documents.

Education

Bachelors

Experience

0-1 years of relevant experience.

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