A financial services company in Cebu City is looking for a finance professional to manage cash positions and improve treasury management. Requirements include a Bachelor's degree in finance or accounting, 2-3 years of relevant experience, and skills in SAP and Oracle Treasury. The role involves overseeing cash management functions and coordinating with banks. Candidates must have strong analytical skills. Office-based position with potential long hours during month-end closing.
Qualifications
2–3 years of experience in treasury or finance roles.
Ability to oversee cash management functions and assess financial risks.
Strong analytical skills and attention to detail.
Responsibilities
Manage daily cash positions and cash flow forecasting.
Assist in the preparation of reports for liquidity and cash management.
Support investment strategies and optimize interest rate exposure.
Coordinate with banks for financial transactions and services.
Implement treasury management systems effectively.
Skills
Proficiency in SAP
Oracle Treasury
Kyriba
Education
Bachelor’s degree in Finance, Accounting, or a related field
Job description
Manage daily cash positions and cash flow forecasting.
Assist in the preparation of reports for liquidity and cash management.
Support investment strategies and optimize interest rate exposure.
Coordinate with banks for financial transactions and services.
Implement treasury management systems effectively.
Requirements
Educational Qualifications: Bachelor’s degree in Finance, Accounting, or a related field
Experience Level: 2–3 years of experience in treasury or finance roles
Skills and Competencies: Proficiency in SAP, Oracle Treasury, and Kyriba
Responsibilities and Duties: Ability to oversee cash management functions and assess financial risks
Qualities and Traits: Strong analytical skills and attention to detail
Working Conditions: Office-based, with potential for long hours during month-end closing