We are seeking a Treasury Accountant to manage the organization's cash flow and financial transactions. The ideal candidate will have a strong understanding of accounting principles and treasury operations.
Key Responsibilities:
* Manage daily cash flow and banking relationships.
* Prepare and reconcile bank statements.
* Monitor and forecast cash positions.
* Ensure compliance with financial regulations.
* Support the month-end and year-end closing processes.
Required Skills:
* Proficiency in accounting software and Microsoft Excel.
* Strong analytical and problem-solving skills.
* Knowledge of treasury management principles.
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