Senior Treasury Accountant (Short-term contract)

Finance | Head Office | Full-time

Responsibilities:

  • Cash Management: Monitor daily cash balances, daily operation with banks (Cheques; LCs; LGs; Cash; Transfers;…etc), process payment to partners according to the Company payment process, forecasting cash requirements, and managing short-term investments.
  • Liquidity Management: Develop and implement strategies to optimize liquidity and manage cash flows effectively.
  • Debt Management: Manage existing debts, negotiate terms with lenders, and explore new financing options.
  • Investment Strategy: Evaluate investment opportunities, and manage the company’s investment portfolio in alignment with financial goals.
  • Reporting: Prepare and present reports on cash position, forecasts, and investment performance to senior management. Prepare monthly bank reconciliations for monthly closing.
  • Regulatory Compliance: Ensure adherence to relevant financial regulations and policies affecting treasury operations.
  • Collaboration: Work closely with finance, accounting, and other departments to ensure alignment of treasury activities with overall business strategy.
  • Technology Utilization: Leverage fintech tools and systems to enhance treasury operations, data analytics, and reporting processes.
  • Risk Management: Identify and assess financial risks including interest rate, foreign exchange, and credit risks. Implement hedging strategies as necessary.

Requirements:

  • Minimum 3 plus years of solid treasury, banking, or corporate finance experience preferably in a mix of MNC and fast-paced/high-growth companies (e.g. fintech). Finance/accounting knowledge and experience will be an added advantage.
  • Bachelor or MBA in Finance, Accounting, Banking, Economics or relevant professional qualifications e.g. ACCA, CA, CFA, etc.
  • Strong hands-on project management skills, results-driven, execution-focused, ability to own outcomes and make things happen with a strong sense of urgency.
  • Strong analytical skills and proficiency in financial modeling.
  • Knowledge of relevant regulations and compliance requirements.
  • Excellent communication and interpersonal skills.
  • Familiarity with treasury management systems and financial software.

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