As a key player in our organization, you will be responsible for analyzing and managing financial data.
Key responsibilities include :
- Updating and maintaining accurate banking information.
- Analyzing bank and accounting accounts to ensure accurate recording.
- Preparing cash flow management reports and daily transaction records.
- Managing activities efficiently to optimize performance.
- Using advanced Excel tools to streamline reporting activities.
- Handling data accurately and reliably.
Requirements :
Bachelor's Degree in Accounting, Business Administration, Finance, or related field.Minimum of 1 year in Treasury with experience in check management and account closings.We promote a collaborative culture where team members can communicate and work together effectively. Our talented team is dedicated to delivering results and ensuring the success of our organization.
Key skills and qualifications include :
Financial analysis and planningBanking and accounting expertiseExcel skills and proficiencyCommunication and teamworkOrganizational and time management skillsBenefits include :
Opportunities for professional growth and developmentA dynamic and supportive work environmentCompetitive compensation and benefits package