We are seeking a detail-oriented and experienced Treasury Accountant to manage the company's cash flow and financial transactions. The Treasury Accountant will be responsible for monitoring bank accounts, preparing financial reports, and ensuring compliance with accounting regulations.
Key Responsibilities:
* Manage the company's cash flow and banking relationships
* Prepare and analyze financial reports, including cash flow statements
* Reconcile bank accounts and resolve discrepancies
* Ensure compliance with accounting regulations and internal controls
* Assist with budgeting and forecasting activities
Required Skills:
* Strong accounting and financial analysis skills
* Excellent knowledge of accounting principles and regulations
* Proficiency in accounting software
* Strong attention to detail and accuracy
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