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Treasury Manager
Posté : 08-04-2016
Nom de l’employeur : Secteur Telecom
Lieu :
Vues : 2210
Type d'emploi : CDI
Postulants : 8
ROLE PURPOSE
Company Treasury Manager forms an integral part of Finance team responsible for maintaining an efficient and accurate financial control function within the business; with specific accountability for effectively managing the treasury function including: to assess, monitor, plan and manage the efficient utilization of cash and financial services in a manner consistent with the objectives of the Company.
JOB DESCRIPTION
Reporting to the Chief Financial Officer – OpCo Treasury Manager is responsible for:
Monitoring daily cash flows, understand, manage, and supervise all aspects of cash flow
Prepare weekly, monthly and quarterly cash flow forecast
Direct, monitor and trade investment portfolios including Working capital, High-Yield, Escrow, and other portfolios
Evaluate, develop and implement cash management systems to optimize efficiencies
Understand and manage appropriate accounting procedures and processes
Monitor bank service fees and address quality issues
Ensure that all the BusyInternet’s bank accounts are reconciled on a monthly basis and that outstanding items are followed up and cleared within 30 days
Ensure posting of entries from bank accounts including transfers, direct debit rejects and collections, bank charges, but may also include funds received from overseas, unsolicited receipts, etc. Co-ordinate with operating divisions to ensure that they are informed of such incoming funds and that action is taken in the appropriate system to allow correct accounting action and reconciliation
Manage day to day relationship with the BusyInternet’s main bankers. Ensure that mandates correctly reflect the current authorities and that the BusyInternet is aware of current banking practices to improve efficiency of the function
Manage the company’s debt portfolio, ensuring that covenants with lenders are kept
Undertakes the day-to- day administration and disbursement of petty cash payments by accurately recording entries and verifying expenditure documentation
Ensure supplier and other payments are made in a timely manner
Ensure payments are accounted for promptly and allocated in AP ledger
Ensure Loan principal and interest payments due are paid on time
To assist in obtaining best Foreign Exchange (FX) deals
Manage the Cash, Bank, Loans, Loan Interest and Exchange difference accounts on the Trial Balance
Reconcile and explain movements between periods on a monthly basis for the management reports
Produce commentary for inclusion in management reports
To ensure 100% compliance with existing internal controls and guidelines while guaranteeing complete and accurate reports of division’s activities at all times
JOB REQUIREMENT
The ideal candidate will have a university degree in Accounting, Commerce, Business Administration or similarly relevant field and a minimum of 12 months experience in a similar role:
Part qualified with a recognised professional accounting body such as ACCA, CPA, CIMA or a minimum of 5 years’ experience in a similar role in the telecoms industry
Demonstrable experience of enterprise systems and computerised accounting packages including SAP
Highly organized and methodical
Capable of multi-tasking with excellent time management skills and a dedication to meeting deadlines
Strong analytical and numerical skills, with an ability to solve problems
Demonstrable skills of accuracy and attention to detail
Proven strong ethics and personal integrity
OTHERS DESIRABLE TRAITS
Fast learner, flexible, hardworking and dynamic
Ability to work as an active team player with all Company & BusyInternet personnel