Job Details
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Job Description
Cash Management:
- Monitor daily cash balances and ensure sufficient liquidity for day-to-day operations.
- Manage cash forecasting and optimize cash flow, ensuring that the company has enough cash to meet operational and financial obligations.
Banking and Payment Management:
- Maintain relationships with banking institutions and other financial entities.
- Oversee the reconciliation of bank accounts and resolve discrepancies.
- Ensure smooth processing of payments and receipts, both domestic and international.
Treasury Reporting:
- Prepare and present regular treasury reports, including cash position, cash forecasts, and other liquidity-related reports.
- Analyze financial data to identify trends, risks, and opportunities related to treasury management.
- Assist in the preparation of monthly, quarterly, and annual financial statements.
Investment Management:
- Oversee short-term investments of surplus cash to maximize returns while managing risk.
- Work closely with senior finance management to set investment policies and strategies.
Debt and Financing Management:
- Manage the company's debt portfolio, including debt compliance and covenant monitoring.
- Assist in securing financing and refinancing options as needed for operations or capital projects.
Risk Management:
- Monitor and manage financial risks, including interest rate, foreign exchange, and commodity risks.
- Implement hedging strategies to mitigate financial risk exposure.
Compliance and Controls:
- Ensure compliance with internal controls, corporate policies, and regulatory requirements related to treasury operations.
- Work with auditors during external audits and help resolve issues related to treasury accounts.
Team Leadership:
- Supervise, mentor, and guide junior treasury accountants and other finance staff.
- Foster collaboration across different finance functions, ensuring timely and accurate reporting.
Job Requirements
- Education: A bachelor's degree in accounting, finance, or related field is typically required. A master’s degree or certifications such as a CPA (Certified Public Accountant) or CTP (Certified Treasury Professional) are often preferred.
- Experience: Several years of experience in treasury, accounting, or finance, with a deep understanding of cash management, banking, and financial reporting.
- Technical Skills: Proficiency in accounting software (e.g., SAP, Oracle, or similar) and advanced Excel skills.
- Analytical Skills: Strong analytical skills to assess cash flow, liquidity, and financial risk.
- Communication: Strong communication skills to work effectively with internal teams and external stakeholders like banks and financial institutions.