Job Openings Treasury Section Head

About the job Treasury Section Head

RESPONSIBILITIES

  • Oversee daily cash positioning and monitor overall liquidity to ensure efficient cash flow management across the organization.
  • Supervise the reporting and monitoring of cash balances through the FIS system and online banking platforms, ensuring accuracy and timely updates.
  • Lead the preparation and review of short- and long-term cash flow forecasts and funding plans to support business operations and strategic objectives.
  • Manage and control all loan and banking facility agreements, ensuring compliance with contractual terms and financing requirements.
  • Review and approve monthly bank reconciliations, ensuring timely resolution of outstanding and unreconciled items.
  • Oversee interbank cash transfers and optimize fund allocation across bank accounts to maximize liquidity efficiency.
  • Supervise treasury investment activities, including the purchase and sale of Treasury Bills, ensuring alignment with the company's liquidity and investment strategies.
  • Review and validate treasury-related accounting entries on SAP, including interest, bank charges, receivables/payables checks, Treasury Bills, and loan transactions, ensuring accuracy and compliance.
  • Lead coordination with banks regarding Letters of Credit (LCs), Letters of Guarantee (LGs), banking facilities, and new account openings, ensuring timely processing and alignment with business needs.
  • Coordinate with the FSSC team to ensure timely settlement of supplier payments and proper maintenance of related financial records and documentation.
  • Ensure compliance with internal controls, treasury policies, banking regulations, and corporate governance requirements.
  • Support management with treasury analysis, banking relationship management, and recommendations to enhance cash management efficiency and financial performance.

Education

  • Bachelor's degree in accounting, Finance.

Experience

  • 5–7 years of relevant experience in Treasury.
  • Previous supervisory or team leadership experience is preferred.
  • CTP (Certified Treasury Professional) certification is preferred.

Languages

  • Excellent command of English.

Required Competencies

  • Strong communication and negotiation skills.
  • Strong analytical and financial skills.
  • Problem-solving and decision-making skills.
  • Critical thinking and attention to detail.
  • Strong understanding of cash flow and liquidity management.
  • Good knowledge of SAP.
  • Proficiency in Microsoft Office.