Job Description :
- Manage vendor / employee payments, bank transfers, and bank reconciliation statements.
- Track investments / liquidations and update master financial files.
- Ensure timely submission of banking-related documentation.
- Monitor ROI on investments and borrowing costs regularly.
- Prepare weekly payables reports and oversee fund management.
- Utilize financial software for accurate and efficient treasury operation.
- Strong analytical skills and attention to detail are essential.
We are only looking for Female Candidates
Skills Required
Fund Management, Bank Reconciliation, Financial Software