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NRTC Group in Dubai seeks a Treasury Accountant to manage cash flow, banking activities, liquidity, and financial risk. The role ensures timely payments and compliance with internal policies and banking requirements.
Responsibilities include monitoring liquidity, bank reconciliations, processing local and international payments, coordinating with banks for KYC and facilities, and overseeing treasury accounting. Excel and ERP (SAP/Oracle) proficiency are essential.
NRTC Group in Dubai seeks a Treasury Accountant to manage cash flow, banking activities, liquidity, and financial risk. The role ensures timely payments and compliance with internal policies and banking requirements.
Responsibilities include monitoring liquidity, bank reconciliations, processing local and international payments, coordinating with banks for KYC and facilities, and overseeing treasury accounting. Excel and ERP (SAP/Oracle) proficiency are essential.