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Alorica in Metro Manila is seeking a Treasury Professional to manage daily treasury activities, monitor bank balances, forecast cash needs, and execute fund transfers. You will prepare daily cash reports for leadership and partners, review transactions for accuracy, and drive efficiency while ensuring regulatory compliance.
A Finance/Accounting background with 2–4 years of treasury experience is required. The role emphasizes strong Excel skills, analytical thinking, and meticulous attention to
Manages daily Treasury and cash activities, including bank account monitoring, cash forecasting, fund transfers, and reporting.