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  • Posted: Apr 18, 2024
    Deadline: May 5, 2024
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  • We are a Total Real Estate Solutions Company with operations in more than 10 African Countries and certified to international standards (ISO 9001:2015) by UKAS.
    Read more about this company

     

    Treasury Analyst

    Job Details

    • Maintain general ledger, maintain logs of daily receipts as well as manage billings and invoicing.
    • Prepare and present regular treasury reports, budgets, financial documents, and strategies to senior management.
    • Manage payments received from clients and ensure they are inputted  into designated databases
    • Manage daily cash flows/ liquidity and ensure the availability of funds to meet the company’s operations.
    • Post payments to appropriate accounts and maintain logs of daily receipts
    • Recommend strategies for raising necessary funds to facilitate the realization of the company's operational and corporate objectives.
    • Enforce credit policies to ensure that clients with extended credits pay on time
    • Prepare financial forecasts such as revenue, expenses, and loan estimations.
    • Develop cash management, investment, and risk mitigation strategies.
    • Reviewing and approving requests for new loans, lines of credit, or other forms of financing
    • Manage billings and invoicing
    • Document bank transactions by processing checks and online deposits in a proactive manner
    • Review accounting records for accuracy and compliance with regulations
    • Assist in the collection of delinquent accounts by negotiating with customers to pay what they can afford
    • Prepare cash forecasts and manage cash flows/cycles 
    • Oversee the disbursement of cash ensuring compliance with defined policies and procedures.
    • Establish and manage relationships with key bankers and investors.
    • Manage the unit’s budget, review and approve expenditures as defined in the approved manual of authority
    • Maintain petty cash logs, receipts, and balances
    • Handle cash clearing and credit balancing activities along with determining and investigating unidentified accounts
    • Perform any other duties as assigned by the Head of Treasury & Credit Control

    Qualifications

    • Bachelor’s degree in accounting, finance, economics, or a similar field.
    • Minimum of 2 - 3 years of experience as a treasury analyst in a corporate environment
    • Professional certification is an added advantage.
    • Experience with financial management systems, such as SAGE, QuickBooks, Tally, etc.
    • Good computer skills with programs such as MS Excel, Access, and Power BI.
    • Exceptional analytical and problem-solving skills.
    • Strong financial and mathematic abilities.
    • Excellent verbal and written communication skills.
    • Strong time management and organizational abilities.

    Check how your CV aligns with this job

    Method of Application

    Interested and qualified? Go to Alpha Mead Group on jobs.smartrecruiters.com to apply

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