Cash & Funds Custodian — Treasury & Compliance

Optimove Multiservices Corp.

General Trias

On-site

PHP 240,000 - 360,000

Full time

2 days ago
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Job summary

Optimove Multiservices Corp. seeks a Funds Custodian to safeguard and manage operational cash funds for transport and delivery activities. You will ensure proper authorization, documentation, and control in all fund transactions.

Responsibilities include daily cash counts, reconciliations, liquidation handling, and preparation of fund documents, while adhering to policies and supporting audits. Relevant finance experience and proficiency with MS Excel are essential.

Qualifications

  • Bachelor's degree in accounting/finance/business administration or related field.
  • At least 2–3 years of experience in cash handling, revolving fund management, treasury, accounting support, or similar functions.
  • Proficiency with basic computer applications (MS Excel, Word, email).

Responsibilities

  • Release approved cash funds to drivers, crews, and authorized personnel, verify fund requests and supporting documents.
  • Conduct daily cash counts and fund reconciliations, maintain accurate records of releases, liquidations, replenishments, and balances.
  • Receive, review, and validate liquidation documents with proper supporting records.
  • Monitor outstanding cash advances and aging reports, follow up on issues, escalate as needed.
  • Prepare and issue cash vouchers, receipts, Statement of Expenses and Liquidation (SEL) and other fund documents.
  • Ensure compliance with company policies and internal controls, support audits, and suggest process improvements.
  • Prepare reports on fund utilization, cash balances, liquidations, replenishments, and advances.

Skills

Cash handling
Fund management
Treasury
Accounting support
Operational coordination

Education

Bachelor's degree in Accounting, Finance, Business Administration, or related field

Tools

MS Excel
MS Word
Email

Job description

Optimove Multiservices Corp. seeks a Funds Custodian to safeguard and manage operational cash funds for transport and delivery activities. You will ensure proper authorization, documentation, and control in all fund transactions.

Responsibilities include daily cash counts, reconciliations, liquidation handling, and preparation of fund documents, while adhering to policies and supporting audits. Relevant finance experience and proficiency with MS Excel are essential.

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