Job Description
- Track daily cash balances and collections across accounts
- Execute and verify inter-account cash transfers
- Manage daily outgoing payments (suppliers, urgent transactions)
- Validate reports, reconciliations, and allocation flows
- Ensure accurate and timely investor-grade reporting
- Apply and maintain standardized reporting frameworks
- Improve treasury processes for scalability, control, and automation
- Background in treasury, cash management, banking, or similar financial operations
- 2-5 years of relevant experience in a comparable role or analytical setting
- Comfortable with processes, reconciliations, reporting, and stakeholder interaction
- Strong communicator with the ability to coordinate across teams and partners
Apply for This Position
Ready to take the next step? Click the button below to submit your application.
Submit Application