Payments Coordinator
Join our dynamic team as we pave the way for financial excellence and customer satisfaction at our esteemed company. We are in search of a proactive individual dedicated to accuracy, efficiency, and the seamless management of treasury functions. Step into a role that is vital to ensuring financial stability and success.
Key Responsibilities
- Manage daily cash flow operations, including monitoring bank account balances and preparing cash forecasts.
- Ensure accurate reconciliation of bank accounts and resolve any discrepancies in a timely manner.
- Assist in the preparation and analysis of monthly treasury reports to support strategic financial planning.
- Identify opportunities for process improvements to enhance efficiency and accuracy within the treasury department.
- Collaborate with internal teams to ensure compliance with company policies and regulatory requirements.
Essential Skills and Competencies
- Strong time management abilities to effectively handle multiple tasks and deadlines.
- Demonstrated customer focus with a commitment to delivering high-quality service.
- Excellent teamwork skills to collaborate seamlessly with colleagues across various departments.
- Clear and effective communication skills, both verbal and written, to engage with stakeholders.
- Proven technical experience with financial systems and proficient in Microsoft Office Suite.
- Proficiency in English language for effective communication and report preparation.
Qualifications and Experience
- Bachelor's degree in Finance, Accounting, or a related field preferred.
- 0 to 2 years of experience in a treasury or accounting role.
- Experience in cash management and bank reconciliation is advantageous.
Working Environment
- Location: This role is office-based with options for remote work flexibility.
- Working Hours: Standard business hours with potential for occasional overtime during peak periods.
- Working Days: Monday to Friday.
We are thrilled to welcome a detail-oriented Treasury Accountant to contribute to our financial strategies and operational successes. If you have a passion for precise numbers and a knack for collaborative problem-solving, apply today and become a vital part of our thriving company at [Company Name]. Your journey to financial excellence begins here.
- Department
- Finance
- Role
- Treasury Admin
- Locations
- Giza Governorate
- Remote status
- Hybrid
- Number of Seats
- 1
- Seniority Level
- Entry Level
About Future Group
Since our founding in 1994, Future Group has embarked on a remarkable journey to become a global leader in the translation and localization industry.
At Future Group, we take pride in our ability to consistently exceed our clients' expectations by delivering high-quality, tailored solutions that drive their success in international markets.
Payments Coordinator
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