We are looking for a Local Treasury Senior Specialist to join our Finance Department. This role is ideal for a detail-oriented and responsible professional with strong analytical skills who will play a key role in managing daily treasury operations, financial risk monitoring, and cash management. The position requires full-time commitment and offers an opportunity to contribute directly to the financial stability and efficiency of the organization.
Record and monitor receipts from customers and payments to suppliers.
Organize and control financial documents including checks and promissory notes.
Manage cash assets across the company’s funds and bank accounts.
Check and verify payments, process deposits, and reconcile bank accounts.
Prepare and present management and financial reports.
Monitor financial risks and propose solutions.
Ensure timely and accurate reporting to management.
Proven responsibility, attention to detail, and professional conduct.
Strong proficiency in Microsoft Excel and financial data handling.
Excellent organizational and problem-solving abilities.
Bachelor’s degree in Finance, Accounting, Business, or a related field (preferred).
Relevant experience in treasury, accounting, or financial management is a plus.
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