Riyada
Treasury Accountant
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0 applicants
Job Description
- Manage Daily Treasury Operations:Oversee and execute daily cash management activities, including cash positioning, bank reconciliations, and payment processing to ensure optimal liquidity.
- Financial Reporting & Analysis:Prepare accurate and timely financial reports related to treasury activities, performing detailed financial analysis to support strategic decision-making.
- General Ledger Reconciliation:Conduct thorough general ledger reconciliations for all treasury-related accounts, ensuring data integrity and compliance with accounting standards.
- Software Utilization:Leverage advanced accounting software, particularlyOdoo, andMicrosoft Excel, to streamline processes and enhance efficiency.
- Contracting Support:Assist with financial aspects of contracting processes, ensuring adherence to financial policies and regulatory requirements.
- Risk Mitigation:Support the identification and mitigation of financial risks, contributing to the development of robust treasury policies and procedures.
- Collaboration:Work closely with various internal departments to forecast cash needs and manage intercompany transactions effectively.
Requirements & Qualifications
- Educational Excellence:Possess aBachelor's Degreein Accounting, Finance, or a related field, providing a strong academic foundation for treasury management.
- Proven Expertise:Bring1-3 years of progressive experiencein treasury, accounting, or financial management roles, demonstrating a solid understanding of financial operations.
- Mastery of Core Skills:Showcase advanced proficiency inAccounting,Financial Management, andFinancial Analysis.
Your expertise should spanCash Management,Treasury Operations, and impeccableGeneral Ledger Reconciliation.
- Software Savvy:Be highly proficient inAccounting Software, particularlyOdoo, and demonstrate advanced capabilities inMicrosoft Excelfor data manipulation, analysis, and reporting.
Familiarity with other financialSoftwareis a plus.
- Analytical Acumen:Exhibit strongAnalytical Skills, with the ability to interpret complex financial data and provide actionable insights.
- Diligent Reporting:Proven experience in preciseFinancial Reportingand a meticulous attention to detail.
- Contracting Knowledge:Understanding of financial aspects related toContractingprocesses.
EGjobank Analysis
Quick Role Summary
Opportunity as "Treasury Accountant" at IVEC Contracting located in القاهرة on a Full-Time basis, suited for Fresh Graduate candidates, within Marketing & Sales. Key details from listing: • Manage Daily Treasury Operations:Oversee and execute daily cash management activities, including cash positioning, bank reconciliations, and payment…
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- Tailor your CV headline to match "Treasury Accountant" and feature measurable achievements in the top third of your resume.
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Readiness Checklist
- Updated CV in standard PDF format with a professional filename
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- Availability for work in القاهرة or remote if specified
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- Egyptian Job Bank candidate profile ready for application tracking
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