Job Description:
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Update short term liquidity forecast; validate assumptions with BU Finance
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Compile payment runs; perform maker checks; ensure dual approvals per policy; monitor cut off adherence
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Ensure compliance with IFRS 9 and other relevant accounting standards in all treasury transactions including recognition measurement and disclosure of financial instruments.
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Support accounting and reporting for PPN RCF swaps hedges and other derivative instruments ensuring accurate valuation documentation and compliance with hedge accounting policies
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Maintain payment mandates signatory lists and bank account master data with strict change control
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Coordinate bank fee analysis; escalate exceptions; assist in KYC/mandate amendments
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Support intercompany cash pooling sweeps; track notional/physical pool mechanics
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Capture simple FX deals/rollovers under guidance; record settlements; prepare deal summaries
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Support intercompany funding requests and interest calculations
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Post month end entries (interest accruals bank charges cash pool interest); reconcile treasury GLs to bank statements and sub ledgers; resolve breaks with Bank Rec
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Operate key controls (maker checker access reviews limit checks); maintain evidence packs in line with Group Standards/RACM/SOP; prepare audit support files.
Job Description: Update short term liquidity forecast; validate assumptions with BU Finance Compile payment runs; perform maker checks; ensure dual approvals per policy; monitor cut off adherence Ensure compliance with IFRS 9 and other relevant accounting standards in all treasury transac...
Job Description:
-
Update short term liquidity forecast; validate assumptions with BU Finance
-
Compile payment runs; perform maker checks; ensure dual approvals per policy; monitor cut off adherence
-
Ensure compliance with IFRS 9 and other relevant accounting standards in all treasury transactions including recognition measurement and disclosure of financial instruments.
-
Support accounting and reporting for PPN RCF swaps hedges and other derivative instruments ensuring accurate valuation documentation and compliance with hedge accounting policies
-
Maintain payment mandates signatory lists and bank account master data with strict change control
-
Coordinate bank fee analysis; escalate exceptions; assist in KYC/mandate amendments
-
Support intercompany cash pooling sweeps; track notional/physical pool mechanics
-
Capture simple FX deals/rollovers under guidance; record settlements; prepare deal summaries
-
Support intercompany funding requests and interest calculations
-
Post month end entries (interest accruals bank charges cash pool interest); reconcile treasury GLs to bank statements and sub ledgers; resolve breaks with Bank Rec
-
Operate key controls (maker checker access reviews limit checks); maintain evidence packs in line with Group Standards/RACM/SOP; prepare audit support files.
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