Job Description
Job Summary:
We are seeking a skilled and detail-oriented Accountant - Treasury to join our client finance team in a Multination manufacturing company. As an Accountant - Treasury, you will play a crucial role in managing our company's financial resources, ensuring efficient cash flow management, and contributing to the overall financial health of the organization. This position requires a strong understanding of treasury operations, financial analysis, and exceptional attention to detail.
Key Responsibilities:
Cash Flow Management:
- Monitor and manage daily cash balances to ensure optimal liquidity.
- Forecast short-term and long-term cash requirements.
- Prepare cash flow projections and reports for senior management.
- Recommend strategies to optimize cash utilization and investment.
Bank Relations:
- Maintain relationships with banks and financial institutions.
- Oversee banking transactions, including deposits, withdrawals, and transfers.
- Negotiate favorable banking terms and services.
- Ensure compliance with banking agreements and regulations.
Cash and Treasury Operations:
- Execute daily cash transactions, including payments and receipts.
- Manage and reconcile bank accounts, ensuring accuracy and integrity of financial data.
- Monitor and analyze interest rates and foreign exchange rates.
- Prepare and manage intercompany fund transfers.
Financial Reporting:
- Prepare monthly, quarterly, and annual treasury reports.
- Assist in the preparation of financial statements.
- Analyze variances in cash flow and provide explanations.
- Contribute to the annual budgeting process by providing treasury-related inputs.
Risk Management:
- Identify and assess financial risks related to treasury operations.
- Develop and implement risk mitigation strategies.
- Monitor compliance with risk management policies and procedures.
- Ensure compliance with applicable financial regulations.
Investment Management:
- Evaluate investment opportunities and recommend suitable investment vehicles.
- Monitor investment portfolios and assess their performance.
- Ensure compliance with investment guidelines and objectives.
Documentation and Compliance:
- Maintain accurate and up-to-date documentation of treasury transactions.
- Ensure compliance with internal controls and financial regulations.
- Assist in internal and external audits related to treasury operations.
Qualifications:
- Bachelor's degree in Finance, Accounting, or a related field; CPA or CTP certification is a plus.
- Proven experience in treasury management, preferably in the banking industry.
- Strong knowledge of financial instruments, banking, and cash management.
- Proficiency in financial software and tools, such as ERP systems and Excel.
- Excellent analytical and problem-solving skills.
- Strong communication and interpersonal skills.
- Attention to detail and accuracy in financial reporting.
- Ability to work effectively in a team and under pressure.
- Knowledge of relevant financial regulations and compliance requirements.