Job Details

Treasury Accountant

Department : Treasury - KG

Location Icon 3rd Settlement

Short Description

Responsibilities:

  1. Update the daily cash Position.
  2. Review the Bank Accounts reconciliation with Books.
  3. Follow up regularly on discrepancies between banks and books and solve them.
  4. Follow up on all bank accounts.
  5. Monitor the cash position and availability.
  6. Check and reconciling bank deposits and bank payments.
  7. Support and facilitate Regulatory and financial audit requests.
  8. Handle daily bank operations and all ongoing bank communications.
  9. Follow up on daily transactions making sure they are executed promptly.
  10. Maintain a proper documentation system for payments, cheques & bank statements.
  11. Work closely with team members to assist with the month-end close and reconciliation.


Requirements:

  1. Bachelor’s degree in accounting, Finance
  2. 1-3 years of experience
  3. Strong knowledge of accounting principles and financial reporting
  4. Excellent analytical and problem-solving skills


Job Details

  • Employment Type: Full-time
  • Vacancies: 0
  • Salary Per: Month
  • Experience: 1 - 3 years