Treasury Accountant
Ancient Grove
Multiple VacanciesEmployer Active
Posted 13 hrs ago
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Nationality
Any Nationality
Gender
Not Mentioned
Vacancy
2 Vacancies
Job Description
Roles & Responsibilities
Key Responsibilities
- Receive and receipt cash/cheques, verifying supporting documentation and data in the system.
- Verify foreign currency exchange rates for foreign currency transactions.
- Communicate treasury balances to the department manager and finance team.
- Perform daily cash counts and reconcile balances with system records for revenue and expense treasury.
- Complete end-of-day treasury reconciliation and submit signed cash count reports.
- Verify approvals and signatures before executing cash payments.
- Maintain sufficient cash to meet operational and financial needs.
- Record payment bills in the system, ensuring valid documentation for all expenses.
- Coordinate payment documentation, including tax notifications for applicable invoices.
Banking Operations
- Validate and deposit bank checks promptly.
- Monitor daily cash balances and positioning across all bank accounts.
- Record and reconcile deposits against bank statements.
- Process refund checks and other bank transactions (transfers, payments, etc.).
- Maintain accurate records of all bank and treasury transactions.
- Coordinate with banks on routine operational issues.
Treasury Accounting & Reporting
- Record treasury journal entries, ensuring proper general ledger classification.
- Prepare cash position reports, bank balance summaries, and management reports
- Support month-end and year-end closing for treasury activities.
Compliance & Internal Controls
- Ensure adherence to internal treasury policies and procedures.
- Support internal and external audits by providing treasury documentation.
ERP & System Utilization
- Execute treasury operations using ERP systems and online banking platforms.
- Support system improvements for treasury and cash management.
Cross-Functional Coordination
- Coordinate cash movements with accounts payable, accounts receivable, and finance teams.
- Support finance management with treasury analysis and information.
Desired Candidate Profile
Qualifications & Experience
- Bachelor s degree in accounting, Finance, or a related field.
- Minimum 2-3 years of experience in treasury, accounting, or cash management roles.
- Experience in banking operations and cash flow management.
Technical Skills
- Strong understanding of cash management, banking operations, and treasury accounting.
- Proficiency in MS Excel for cash tracking, reconciliations, and reporting.
Soft Skills
- High attention to detail and accuracy.
- Ability to meet deadlines and manage daily cash operations effectively.
- Good communication skills for coordination with banks and internal teams.
- Strong sense of responsibility and confidentiality.
Company Industry
- Agriculture
- Dairy
- Poultry
- Livestock
Department / Functional Area
- Finance
- Treasury
Keywords
- Treasury Accountant
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