Treasury Officer

Aguila Glass

Pasig

On-site

PHP 360,000 - 480,000

Full time

6 days ago
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Job summary

Aguila Glass is seeking an Accounting/Finance professional to manage monthly bank reconciliations, postings, and compliance for treasury activities. The role involves processing deposits, wire transfers, vendor payments, and maintaining accurate records across branches and the Head Office.

The ideal candidate holds a Bachelor's degree in accounting/finance and has at least three years of experience with strong numerical and confidentiality skills, integrity, and trustworthy conduct.

Qualifications

  • Bachelor's degree in Accounting, Finance, or Management.
  • Minimum 3 years of experience in Accounting or Finance.
  • Strong attention to detail and data confidentiality.
  • Mathematically proficient and trustworthy.
  • Good moral character.
  • Honest and trustworthy.

Responsibilities

  • Reconcile main bank accounts monthly and monitor bank transactions.
  • Prepare and process deposits, payments, wire transfers, and other banking transactions.
  • Process supplier payments and ensure compliance with proper payment procedures.
  • Monitor checks for release and coordinate the distribution/collection of available checks.
  • Prepare and send financial documents to branches, customers, suppliers, and other concerned parties.
  • Ensure bank credit and debit memos, remittances, and other bank transactions are properly posted to Head Office accounts.
  • Maintain organized records of bank statements, deposits slips, and other treasury documents.

Skills

Attention to detail
Data confidentiality
Numerical accuracy
Integrity
Discretion

Education

Bachelor's degree in Accounting, Finance, or Management

Job description

Key responsibilities

  • Reconcile main bank accounts monthly and monitor bank transactions

  • Prepare and process deposits, payments, wire transfers, and other banking transactions

  • Process supplier payments and ensure compliance with proper payment procedures

  • Monitor checks for release and coordinate the distribution/collection of available checks

  • Prepare and send financial documents to branches, customers, suppliers, and other concerned parties

  • Ensure bank credit and debit memos, remittances, and other bank transactions are properly posted to Head Office accounts

  • Maintain organized records of bank statements, deposits slips, and other treasury documents

About you

  • Bachelor's degree in Accounting, Finance, or Management

  • At least 3 years experience in Accounting or Finance

  • Strong attention to detail and data confidentiality ethics

  • Mathematically proficient

  • Good moral character

  • Honest and trustworthy

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