About the role
We are looking for a detail-oriented finance professional to support treasury activities, cash management, and daily banking operations.
Responsibilities
- —• Monitor daily cash positions and support cash flow forecasting.
- —• Process payments, bank transactions, and reconciliations.
- —• Coordinate with banks and maintain accurate treasury records.
- —• Prepare treasury reports and support process improvements.
Requirements
- —• Bachelor’s degree in Finance, Accounting, or Economics.
- —• 1–3 years of experience in Treasury or Accounting.
- —• Good understanding of cash management and banking operations.
- —• Proficiency in Excel; SAP is a plus.
Ready to apply?
Takes about 5 minutes.