Full-time Posted June 03, 2026
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Job Description

Responsibilities:
  • Record payments, collections, bank charges, and interest.
  • Handle daily cash management and ensure adherence to cash management procedures.
  • Maintain domestic and global banking relationships.
  • Develop cash targets to support efficient liquidity management.
  • Follow up on monthly additions, disposals, amortization, and depreciation.
  • Prepare reports on the full register of assets.
  • Requirements:
  • Bachelor’s degree in finance or accounting.
  • 1–3 years of experience.
  • Experience in treasury and dealing with banks is highly recommended.
  • SAP experience is preferred.
  • Very good command of English.
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