الرئيسية / الوظائف / 15768 مشاهدة08 سبتمبر 2020


Senior Treasury Accountant , Jumia Group - STJEGYPT



Senior Treasury Accountant , Jumia Group - STJEGYPT

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Work Type : Full Time
Experience : 0-3 Years




Gender : male and female
Salary: Not mentioned
Salary Type : Net Salary
Location: Cairo , EG
JumiaPay facilitates the payments of online transactions for Jumias ecosystem. With over 1 billion people and 500 million internet users in Africa, Jumia believes that e-commerce is making peoples lives easier by helping them shop and pay for millions of products at the best prices wherever they live. E-commerce is also creating new opportunities for SMEs to grow, and job opportunities for a new generation to thrive.


With over 5,000 employees in more than 10 countries in Africa, Jumia is led by top talented leaders offering a great mix of local and international talents and is backed by very high-profile shareholders. Jumia is committed to creating sustainable impact in Africa. Jumia offers unique opportunities in a vibrant and booming environment, creating new jobs, new skills, and empowering a new generation.


Main Responsibilities


Manages the day to day transactions that include assurance of proper documentations flow and proper accounting treatments are in place.
Ensure accounting and transactions approvals are in line with the company policies.
Maintain and review all monthly balance sheet reconciliations bank statements and reporting.
Assistance with monthly, quarterly and annual reports of the company.
Act as a point of reference within the treasury team in terms of best practice and current developments in the cash and liquidity management and operations and controls.
Develop treasury procedures and controls with the company policies.
Reconcile bank balances with the statements of accounts received from banks.
Update Daily, Weekly and Monthly cash reports .
Prepare , record and keep manual cheques as required.
Maintain listing of accounts payable and post the dated cheques.
Preparation of daily cash position report.
Assist the treasury Manager in cash management and preparing accurate cash flow forecasts.
Preparing Weekly, Monthly Treasury report including monthly cash position .
Preparing all bank wire transfers to local and foreign suppliers.
Reviewing all commissions & charges, transfers deducted.
Verifying the validity of interest expense calculation debited to the company bank accounts as per the monthly bank statement


Required Skills & Qualifications


Bachelor degree in accounting , preferred English Section ..
Good command of writing and reading English.
Good computer skills
Experience 3-5 years in treasury


We Offer


A unique experience in an international, entrepreneurial, yet structured environment
An unparalleled personal and professional improvement as our longer-term objective is to train the next generation of leaders for our future internet service lines
The opportunity to be part of a team full of talented people with the best backgrounds


Apply for here

للمزيد من الوظائف فى تخصص

Accounting


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