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Educational Background
• Bachelor’s degree in accountancy, Finance or relevant work experience.
• CPA and/or CTP license is preferred.
Professional Experience
• 3 to 5 years of relevant experience in treasury operations, reconciliations,
accounting, or finance.
• Experience with cash flow management, bank reconciliations, and financial
reporting is essential.
• Familiarity with bank platforms and ERP systems (SAP preferred)
• Hybrid Work Arrangement: Amenability and readiness to work onsite and from home
• Experience in collaborating with global or multicultural team environment.
Skills and Competencies
• Strong analytical, organizational, and problem-solving skills.
• Proficiency in Microsoft Office Suite (particularly Microsoft Excel)
• Knowledge of banking transactions, reconciliations, forecasting, fund transfers,
hedging, and foreign exchange.
• Ability to work independently and meet deadlines.
• Good communication and coordination skills.
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