Main objective of the role is to handle, control and monitor all treasury activities , prepare cash reports and reconciliations. To have foreign exchange exposure and handle money transfers . Support the team to meet the deadlines.
Requirements
- Age: Max 35
- BA in Accounting /Business Management
- Min 4 years experience in accounting
- Good IT -- Good Excel
- Performance bias
- Can-do attitude
-Team player
-Able to meet deadlines
- Strong analytical and control skills
- Good English speaking and writing