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Duties and Responsibilities
The Treasury Assistant supports the Treasury Department in managing cash and cash equivalents, bank reconciliations, and other treasury-related activities. The role helps ensure accurate financial records, monitors bank and cash transactions, and coordinates with internal teams and banks to support efficient cash management and treasury operations.
Basic Function
Qualification Guidelines
Job ID: 153822207
Skills:
cash flow analysis , Ms Excel, Treasury Management, Finance, Cash Management, Basic office applications
Skills:
Excel, Bank Reconciliation, Bookkeeping, Ms Word
Skills:
Data Analysis, Collections, bank transactions, Financial Software
Skills:
Bank Transactions, Liquidity Monitoring, Accounts Receivable Monitoring, Reconciliation, Treasury experience, Cash Management, Accounting Principles, Reporting, Payment Review
Skills:
Ms Excel, Bookkeeping, Bank Reconciliation, accounting ERP systems, cash monitoring