Job Description
About the job
Key Responsibilities
Treasury Operations
- Monitor daily cash positions and bank balances.
- Prepare weekly cash flow forecasts and assess funding needs.
- Ensure adequate liquidity for business operations.
- Track cash inflows and outflows.
Banking & Payments
- Process supplier, employee, and other business payments.
- Coordinate with banks on account maintenance, KYC, and documentation.
- Manage online banking access and payment approvals.
- Liaise with banking partners on operational matters.
Reconciliation & Reporting
- Perform bank reconciliations and resolve discrepancies.
- Prepare treasury reports on weekly cash position and liquidity.
- Support month-end and year-end treasury closing activities.
Compliance & Controls
- Ensure compliance with treasury policies, controls, and banking procedures.
- Maintain treasury documentation and approval records.
- Support audits and monitor compliance with financing agreements.
Process Improvement
- Identify and implement treasury process improvements.
- Support treasury system enhancements and banking integrations.
- Assist with finance transformation initiatives related to cash management.
Qualifications And Skills
- Bachelor’s degree in Accounting and Finance (Professional Qualification is an added advantage)
- 2–3 years of experience in treasury and banking
- Strong knowledge of banking operations, cash management, and reconciliations.
- Proficiency in Excel and ERP systems (Oracle Fusion Experience is an added advantage).
- Analytical and detail-oriented.
- Strong organizational and communication skills.
- Ability to manage multiple priorities and meet deadlines.
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PRYPCO
- Year founded2022
- Phone971800779726
- Websitehttp://www.prypco.com
- AddressDubai