Role purpose:
Senior Analyst-Treasury & Cash Management will be required to perform bank reconciliations to ensure cash book balance and bank balance agrees. He / she will also be required to make follow up of all reconciling items in the statement to ensure timely clearance. He/ she will also be responsible to process payments to vendors and employees.
Key Accountabilities
- Cash & Bank
- Performing daily bank statement processing and reconciliation for allocated bank accounts
- Effecting communications between the company and banks
- Reconciling clearing accounts
- Reviewing and reconciling suspense accounts and communicating with trade partners to ensure that all collections are deposited in time
- Attending and resolving queries relating to TCM function
- Treasury
- Develop and improve information systems supporting the treasury function
- Compile and maintain financial models to be used for the cash flow budgets and quarterly budget reviews
- Implement measures to manage the foreign exchange risk
- Propose, implement and manage treasury policies and procedures
- Manage all foreign currency dealings and excess cash investments
- Monthly reconciliation of the lenders’ loan accounts
- Vendors and employees payments processing
- Timely processing payments to vendors and employees per agreed timeline
- Providing payments listing to Treasury for cash flow planning and forecasting
- Reconciling payment bank accounts and sub-accounts
- Processing reversals of payments returned, maintaining proper register and advising supply chain for rectification
- Reporting
- Timely and accurate finalization of period end accounting procedures
- Perform monthly balance sheet reconciliations for accounts allocated
Professional qualifications & attributes:
- Degree in Finance or Accounting
- At least 4 years relevant experience (finance, accounting or audit)
- CPA (T) or specific treasury qualification will be advantageous
- Telecoms experience
- Assertive
- Detail focused
- Confidential
- High integrity
Skills
- Financial Reporting
- Accounting
- Financial Analysis
- Data Analytics and Insights
- Requirements Analysis
- Internal Controls
- Change and Adaptability
- Collaboration
- Process and Performance Analytics
- Finance Operations
- Risk Management