Treasury Assistant

J-K Network Services

Pasay

Hybrid

PHP 669,600 - 725,400

Full time

14 days+
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Job summary

A leading BPO company in the Philippines seeks a Treasury Analyst to manage cash flow, analyze capital transactions, and handle daily reconciliations. Applicants should have a Bachelor's degree in Finance or Accounting and 1-3 years of experience in treasury handling for alternative investment funds. The role offers a hybrid work setup and a competitive salary ranging from Php 60,000 to Php 65,000, with a night shift schedule.

Qualifications

  • At least 1 to 3 years of experience handling alternative investment funds including private equity and hedge funds.
  • Experience in Fee Calculations and vendor management is a plus.
  • Available for interviews.
  • Can start immediately.

Responsibilities

  • Manage daily reconciliations to ensure accuracy of Cash & LOC Reconciliation.
  • Analyze capital transactions.
  • Manage liquidity forecasts and cash flow allocations.
  • Assist in managing banking relationships.
  • Collaborate with other teams for platform requirements.

Skills

Treasury handling
Fee Calculations
Vendor management

Education

Bachelor's Degree in Finance or Accounting

Job description

COMPANY PROFILE

This company already have 20 years in the industries. It is one of BPO company that provides support to back office and health services in the industries. And aim to build a cost-effective service to their client.

Position: Treasury Analyst (Fund Treasury)

Company Industry: Financial Services

Work Location: Pasay City

Work Schedule: Night Shift (9:00 PM- 6:00AM)

Salary: Php 60,000-Php 65,000

Work Set Up: Hybrid (2-4x a month)

JOB REQUIREMENTS
  • Bachelor's Degree Holder in Finance, Accounting,
  • At least 1 to 3 years of treasury handling alternative investment funds such as private equity and hedge funds
  • Experience in Fee Calculations and vendor management is an advantage
  • Amenable to attend interviews
  • Can start as soon as possible
JOB RESPONSIBILITIES
  • Manage all the daily reconciliations to ensure the accuracy of the Cash & LOC Reconciliation Oversight in the company
  • Analyze the capital transactions in the company
  • Manage the liquidity forecasts, cash flow to ensure the accurate cash flow allocation.
  • Assist in managing banking relationships in the company
  • Collaborate to other teams when it comes to the requirements of the platforms and set
RECRUITMENT PROCESS
  • Initial Interview
  • Final Interview
  • Job Offer
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