الخبرة : 0-3 سنة
الراتب : Not mentioned
المكان : emirates
Job Description:
-Preparing performance report for securitization to be sent to custodian & FRA.
-Lead Treasury team & guide them to use all facility lines to settle company dues.
-Preparing cash position on daily, weekly, and monthly trequency.
-Preparing performance report for Treasury planned
VS.
Actual.
-Forecast cash flow positions, related borrowing needs forecast interest expense.
- Reviewing and calculating interest and financing commissions and matching them with financing contracts.
-Following up with banks & Factoring companies.
-Following up short term loan balances, debit interest, loan payments installments.
- Account reconciliations, review & approve accounting journal entries for loans and accrued interest.
-Following up Notes Receivable, notes payable and cheques under collection.
Job Requirements:
-Bachelor's degree in finance, accounting or business required.
- Strong knowledge of financial instruments, credit facilities and treasury best practices.
-Knowledge of general treasury, forecasting, budgeting and relaxed accounting.
-Advanced knowledge of Excel and ERP System.
-Strong financial modeling is important
-Proficient with MS Office Suite including strong Excel skills.
+4 years of experience in finance
Skills:
-Strong leadership skills and the ability to collaborate.
-Ability to drive results in a fast-paced/deadline-oriented environment
-Strong analytical skills.
-Problem-solving and organizational skills.
-Strong verbal, written and interpersonal communication skills.