Treasury Officer (Manila Php25K)

Details of the offer

Description :

Responsible in organizing, directing and controlling the general functions of the Treasury Department and developing a strategic cash management and investment program.

•Prepare cash flow budget for the Company;

•Review aging of accounts receivables, status, follow up schedule of collections and proposed adjustments, if any;

•Monitor the collection of receivables to ensure that they are properly accounted for and monitored;

•Verify and recommend releasing of payment to suppliers, creditors and vendors;

•Assist in the preparation of annual budgets and cash flow projections;

•Manage and monitor all bank related transactions of the company including deposit accounts, loans, interest payments;

•Review and approve checks prepared for signature of the Company's authorized signatories;

• Safekeeping of unreleased signed checks.



Requirement :
Bachelor's degree in accounting or finance.
Previous experience working as a treasurer.
Proficient with industry-related financial software systems including SAP and Oracle.
Excellent communication and forecasting skills.
Detailed knowledge of financial legislature.
Knowledge of financing techniques and investment management.
Advanced mathematical skills.
Ability to write and present financial reports.


Source: Whatjobs_Ppc

Job Function:

Requirements

Cfo/Coo Of Holding Company

As Group CFO, manages the entire Finance Group (Treasury, Credit & Collection, Comptrollership, Corporate Planning & Budgeting) and supports the COOs of the ...


From Dempsey Resource Management Inc. - National Capital Region

Published a month ago

Junior Business Analyst - Bank Or Accounting System

WE'RE LOOKING FOR... Junior BUSINESS ANALYST Location: Makati City (Onsite reporting) Schedule: Dayshift Salary: Php 40,000 gross Qualifications: — Graduate...


From Nityo Infotech Services Philippines - National Capital Region

Published a month ago

Group Internal Audit Manager

Minimum of 20 years in Financial and Operational Audit, Compliance Audit, and IT Audit, at least ten (10) years of which must be in managerial positions, gai...


From Dempsey Resource Management Inc - National Capital Region

Published a month ago

Treasury Cashier

SPECIFIC DUTIES AND RESPONSIBILITIES: 1. Prepares Accountability Reports such as Cash Position, Petty Cash Fund, Bank Reconciliation and other Treasury Repor...


From Dempsey Resource Management Inc - National Capital Region

Published a month ago

Built at: 2024-10-31T10:07:15.535Z