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Treasury Analyst

📍 new capital Full-Time 💼 Senior Level (6-8 yrs) 🕐 1mo ago
👁️ 0 views
📋 0 applicants

Job Description

Job Summary:We are looking for a motivated Treasury Analyst with 3–5 of experience to support the daily operations of our treasury team.

This role is ideal for someone early in their career who is eager to build a strong foundation in cash management, banking, and corporate finance.

Key Responsibilities:Assist in monitoring daily cash balances and bank accounts and forecasting short-term liquidity needs.Support the processing of payments, fund transfers, and cash positioning activities and handles the day-to-day banks’ operations.Help maintain banking records and ensure up-to-date bank account information.Ensure compliance with bank covenants and documentation.Reconcile bank statements and resolve discrepancies with internal teams and Banks.Contribute to the preparation of treasury reports.Maintain and organize treasury documentation, ensuring accuracy and compliance to the company’s policy.Follow up on the developers’ cheques collection and monitor disbursements and payments and prepare the transfers.Monitor Escrow accounts, and collection of the company’s share the revenue sharing.Follow up on debt payments and ensure the payments of all dues in respect of the Facilities deadlines and Timetable.Follow up on the Relevant Securities & Covenants in respect of the Facilities deadlines and Timetable.Support the preparation of treasury-related audit documentation and reporting packages.Collaborate with the finance and accounting teams on month-end closing tasks related to treasury.Assist in implementing treasury process improvements and internal controls.

Qualifications:Bachelor’s degree in Finance, Accounting, or a related field.1–3 years of experience in treasury, finance, accounting, or banking.Basic understanding of corporate cash flow, banking transactions, and financial reporting.Proficiency in Microsoft Excel; knowledge of ERP or treasury systems is a plus.Strong organizational skills and attention to detail.Ability to work effectively both independently and as part of a team.Good communication skills and willingness to learn.

Requirements & Qualifications

Qualifications:Bachelor’s degree in Finance, Accounting, or a related field.1–3 years of experience in treasury, finance, accounting, or banking.Basic understanding of corporate cash flow, banking transactions, and financial reporting.Proficiency in Microsoft Excel; knowledge of ERP or treasury systems is a plus.Strong organizational skills and attention to detail.Ability to work effectively both independently and as part of a team.Good communication skills and willingness to learn.

EGjobank Analysis

Quick Role Summary

Opportunity as "Treasury Analyst" at WUZZUF jobs located in new capital on a Full-Time basis, suited for Senior Level candidates, within Media & Communications. Key details from listing: Job Summary:We are looking for a motivated Treasury Analyst with 3–5 of experience to support the daily operations of our treasury team. This role is ideal for…

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  1. Tailor your CV headline to match "Treasury Analyst" and feature measurable achievements in the top third of your resume.
  2. Customize your cover note for new capital: explain why this location and work arrangement suit your availability and how you add value to the team.
  3. Highlight relevant practical experience, key responsibilities, and specific business impact.
  4. Demonstrate team leadership, budget stewardship, and tangible business KPIs — concrete numbers carry maximum weight.
  5. After applying, monitor your status from your dashboard and stay prepared for an interview invitation.

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