Job Description

We are looking for a Local Treasury Senior Specialist to join our Finance Department. This role is ideal for a detail-oriented and responsible professional with strong analytical skills who will play a key role in managing daily treasury operations, financial risk monitoring, and cash management. The position requires full-time commitment and offers an opportunity to contribute directly to the financial stability and efficiency of the organization.

Key Responsibilities

· Record and monitor receipts from customers and payments to suppliers.

· Organize and control financial documents including checks and promissory notes.

· Manage cash assets across the company’s funds and bank accounts.

· Check and verify payments, process deposits, and reconcile bank accounts.

· Prepare and present management and financial reports.

· Monitor financial risks and propose solutions.

· Ensure timely and accurate reporting to management.

Required Skills & Qualifications

Proven responsibility, attention to detail, and professional conduct.
Strong proficiency in Microsoft Excel and financial data handling.
Excellent organizational and problem-solving abilities.
Bachelor’s degree in Finance, Accounting, Business, or a related field (preferred).
Relevant experience in treasury, accounting, or financial management is a plus.

To see more jobs that fit your career