• Support the processing of domestic and international payments, bank transfer and intercompany transactions. • Reconciling and recording of payments into the system ensuring accurate and up-to-date reports • Coordinate with internal teams (e.g., Trade Finance, Accounting, Operations) to ensure accurate and timely cash movements. • Build both short-term and mid-term payment schedules, taking into account invoice due dates, contractual obligations, and cash availability. • Manage the reallocation of funds between different company accounts, ensuring compliance with internal policies and external banking regulations. • Monitor and report on daily cash balances across global bank accounts. • Assist in preparing and updating daily cash flow reports and forecasts. • Assist with bank account banking team to take bank positions • Help maintain and update treasury records, dashboards, and internal reports. • Liaise with banking team for basic queries and transaction confirmations. • Ensure adherence to internal treasury procedures and controls.