Treasury Section Head

Egypt - Alexandria

You’ll be in charge of managing the company's financial resources. This includes overseeing cash management, liquidity management, foreign exchange, risk management, and ensuring regulatory compliance. , You'll also be responsible for activity reports, forecasts, and budgets

  • Coordinating with various departments to optimize working capital and cash flow.
  • Creating projected cash flow reports in line with the approved budget.
  • Cash flow variance analysis 
  • Cash position reporting 
  •  Treasury operations supervising 
  • Monitoring bank fees and commissions 
  • Reviewing agreed credit / debit interest calculation 

Bachelor’s Degree in Accounting/Finance SAP experience is preferred
Post date: 20 May 2024
Publisher: Wuzzuf .com
Post date: 20 May 2024
Publisher: Wuzzuf .com