● Undertake all treasury operations and responsibilities.
● Record post dated checks in the system and track them align with the data recorded.
● Remit post dated checks to the bank.
● Control supplementary documents for payments, issue the checks and book the payments in system.
● Provide the required documents for customs bank guarantees (Contract, Promissory Note, etc.)
● Document control, booking and reconciling.
● Responsible for daily bank operation.
Requirements
● Bachelor's or Master's degree in Finance or Accounting.
● Detailed- oriented.
● Familiar with Office software, especially Excel.
● Written English competency.
● Follow up skills.