Job Description
Key Responsibilities:
- Assist in daily cash management, including monitoring bank balances and cash positioning.
- Support the preparation of cash flow forecasts and variance analysis.
- Coordinate bank account openings, closures, and maintenance of banking documentation.
- Process and track payments, ensuring compliance with internal controls and banking procedures.
- Maintain accurate records of treasury transactions and support month-end closing activities.
- Liaise with banks and internal departments to resolve issues and ensure smooth operations.
- Assist in the implementation and maintenance of treasury systems and tools.
- Support treasury-related projects, including pooling structures, account migrations, and automation initiatives.
- Prepare reports and presentations for internal stakeholders as required
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