We are looking for a meticulous and proactive Treasury Staff to take ownership of our day-to-day cash this hands-on role you will be the guardian of our cash flow ensuring seamless payment execution accurate financial tracking and solid banking relationships. If you thrive in a fast-paced environment and love bringing order to high-volume transactions we want you on our team!
What You Will Do:
1. Cash Flow & Liquidity Management
Monitor daily bank balances and manage cash inflow/outflow transactions efficiently.
Prepare reliable weekly and monthly cash flow projections to support business decisions.
2. End-to-End Payment Operations
Execute timely and accurate payments to vendors employees and external parties.
Manage the full payment lifecycle: from preparing schedules and verifying vendor bank details/documents to compiling approval lists.
Maintain neat and organized documentation of all payment evidence.
3. Banking & Reconciliation
Perform regular bank reconciliations to assurance the accuracy of our financial records.
Act as the primary liaison with banks handling internet banking setups and resolving related operational issues.
Confidently manage multiple bank accounts and high transaction volumes.
4. Compliance & Reporting
Support treasury reporting and assist with audit requirements.
Uphold strict compliance with internal financial policies controls and data accuracy standards.
What We Are Looking For:
Bachelors degree in Finance Accounting Economics or a related field.
13 years of proven experience in Treasury Finance or Accounting.
Experience working in a multi-entity or fast-paced business environment.
Strong understanding of cash management banking processes and accounting principles.
Proficient in Microsoft Excel and corporate internet banking platforms.
Familiar with accounting systems (e.g. Accurate Xero or similar software).You have an eagle eye for discrepancies and handle company funds with the utmost trust.
You can comfortably navigate tight deadlines and high-pressure situations without compromising quality.
You are able to work independently with minimal supervision but are also a great collaborator.
You are not afraid to roll up your sleeves and dive deep into operational end-to-end treasury tasks.
We are looking for a meticulous and proactive Treasury Staff to take ownership of our day-to-day cash this hands-on role you will be the guardian of our cash flow ensuring seamless payment execution accurate financial tracking and solid banking relationships. If you thrive in a fast-paced environme...
We are looking for a meticulous and proactive Treasury Staff to take ownership of our day-to-day cash this hands-on role you will be the guardian of our cash flow ensuring seamless payment execution accurate financial tracking and solid banking relationships. If you thrive in a fast-paced environment and love bringing order to high-volume transactions we want you on our team!
What You Will Do:
1. Cash Flow & Liquidity Management
Monitor daily bank balances and manage cash inflow/outflow transactions efficiently.
Prepare reliable weekly and monthly cash flow projections to support business decisions.
2. End-to-End Payment Operations
Execute timely and accurate payments to vendors employees and external parties.
Manage the full payment lifecycle: from preparing schedules and verifying vendor bank details/documents to compiling approval lists.
Maintain neat and organized documentation of all payment evidence.
3. Banking & Reconciliation
Perform regular bank reconciliations to assurance the accuracy of our financial records.
Act as the primary liaison with banks handling internet banking setups and resolving related operational issues.
Confidently manage multiple bank accounts and high transaction volumes.
4. Compliance & Reporting
Support treasury reporting and assist with audit requirements.
Uphold strict compliance with internal financial policies controls and data accuracy standards.
What We Are Looking For:
Bachelors degree in Finance Accounting Economics or a related field.
13 years of proven experience in Treasury Finance or Accounting.
Experience working in a multi-entity or fast-paced business environment.
Strong understanding of cash management banking processes and accounting principles.
Proficient in Microsoft Excel and corporate internet banking platforms.
Familiar with accounting systems (e.g. Accurate Xero or similar software).You have an eagle eye for discrepancies and handle company funds with the utmost trust.
You can comfortably navigate tight deadlines and high-pressure situations without compromising quality.
You are able to work independently with minimal supervision but are also a great collaborator.
You are not afraid to roll up your sleeves and dive deep into operational end-to-end treasury tasks.