Senior Treasury Associate

Business Process Outsourcing International, Inc.

Cavite City

On-site

PHP 670,000 - 949,000

Full time

14 days+

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Job summary

Business Process Outsourcing International, Inc. seeks a Senior Treasury Associate to support daily treasury and cash management activities, monitor cash positions, and process banking transactions.

The role involves preparing treasury reports, reconciling bank statements, and coordinating with banks on inquiries and documentation. The ideal candidate has a Bachelor’s degree in Accounting/Finance/Business Administration and at least 1 year of relevant treasury or finance experience, with strong

Qualifications

  • Bachelor’s degree in Accounting, Finance, Business Administration, or a related field.
  • At least 1 year of relevant experience in Treasury, Cash Management, Banking, Accounting, or Finance.
  • Knowledge of bank reconciliation, cash management, payment processing, and basic financial reporting.

Responsibilities

  • Monitor daily cash balances and cash requirements.
  • Assist in cash flow monitoring and forecasting.
  • Process and monitor bank transactions, fund transfers, deposits, and payments.
  • Prepare and maintain bank reconciliation and treasury-related reports.
  • Coordinate with banks regarding account inquiries, transactions, and required documentation.
  • Monitor incoming and outgoing payments and ensure timely processing.
  • Maintain accurate records of treasury transactions and supporting documents.
  • Monitor bank charges, loan payments, and other treasury-related transactions.
  • Assist in preparing daily, weekly, and monthly cash position reports.
  • Coordinate with Accounting and Finance teams regarding payments, collections, and cash management activities.
  • Ensure compliance with company policies, internal controls, and treasury procedures.
  • Assist in improving treasury processes and maintaining proper documentation.
  • Perform other finance and treasury-related duties as assigned.

Skills

Bank reconciliation
Cash management
Payment processing
Financial reporting
Microsoft Excel
Attention to detail
Analytical skills
Organizational skills
Communication skills
Confidential information handling
Independent work

Education

Bachelor’s degree in Accounting/Finance/Business Administration

Tools

ERP systems
Accounting software
Microsoft Office

Job description

Senior Treasury Associate
Job Summary

We are looking for a detail-oriented and organized Senior Treasury Associate to support the company’s daily treasury and cash management activities. The role will assist in monitoring cash positions, processing banking transactions, preparing treasury reports, and ensuring accurate and timely financial transactions.

Key Responsibilities
  • Monitor daily cash balances and cash requirements.

  • Assist in cash flow monitoring and forecasting.

  • Process and monitor bank transactions, fund transfers, deposits, and payments.

  • Prepare and maintain bank reconciliation and treasury-related reports.

  • Coordinate with banks regarding account inquiries, transactions, and required documentation.

  • Monitor incoming and outgoing payments and ensure timely processing.

  • Maintain accurate records of treasury transactions and supporting documents.

  • Monitor bank charges, loan payments, and other treasury-related transactions.

  • Assist in preparing daily, weekly, and monthly cash position reports.

  • Coordinate with Accounting and Finance teams regarding payments, collections, and cash management activities.

  • Ensure compliance with company policies, internal controls, and treasury procedures.

  • Assist in improving treasury processes and maintaining proper documentation.

  • Perform other finance and treasury-related duties as assigned.

Qualifications
  • Bachelor’s degree in Accounting, Finance, Business Administration, or a related field.

  • At least 1 year of relevant experience in Treasury, Cash Management, Banking, Accounting, or Finance.

  • Knowledge of bank reconciliation, cash management, payment processing, and basic financial reporting.

  • Proficient in Microsoft Excel and Microsoft Office applications.

  • Experience with accounting software or ERP systems is an advantage.

  • Strong attention to detail and accuracy.

  • Good analytical and organizational skills.

  • Good communication and interpersonal skills.

  • Able to handle confidential financial information with professionalism.

  • Ability to work independently and manage multiple tasks efficiently.

Work Arrangement

Full-time | Hybrid 3x onsite 2 days WFH

LOCATION: PASAY

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