Search by job, company or skills

  • Posted 22 hours ago
  • Be among the first 10 applicants
Early Applicant

Job Description

Qualifications

  • Candidate must posses a Bachelor's degree in BS Accountancy/ Finance/ Business Administration.
  • At least 1-3 years of work experience in treasury, corporate finance, or banking - fresh graduates with internships may be considered.
  • Hands-on experience in daily cash management, bank loan monitoring, and preparation of accurate cash flow reports to support financial reconciliation
  • Strong understanding of accounting principles related to cash management, treasury operations, and financial compliance.
  • Advanced skills in MS Office (Excel) and ERP systems (e.g., SAP, Oracle) for financial analysis and reporting.
  • High accuracy in financial reporting and strong communication skills for cross-functional coordination.
  • Prior experience in the banking or financial services sector is a plus.

Responsibilities

  • Assist in managing company funds by allocating cash balances towards loan payments, disbursements to suppliers, service providers, and others
  • Assist in monitoring and overseeing bank loan payments and availments on a daily basis.
  • Verify, validate, and route check vouchers for approval in compliance with company policies.
  • Prepare and process weekly payments to trade suppliers accurately and on time.
  • Generate weekly Cash Flow and Bank Loan reports for management review.
  • Record and analyze daily financial transactions in SAP to maintain accurate records.
  • Assist the Accounts Receivable (AR) team in reconciling unaccounted bank transactions.
  • Perform and oversee the posting of banking transactions, ensuring alignment with general ledger records.
  • Maintain organized and secure filing of treasury-related documents for audit and reference purposes.
  • Perform other treasury-related duties as assigned by management.

More Info

Job Type:
Industry:
Function:
Employment Type:

Job ID: 138611461