Job Description

Key Responsibilities:

  • Monitor and analyze daily cash positions across multiple bank accounts.

  • Prepare and update cash flow forecasts to ensure liquidity requirements are met.

  • Manage fund transfers, deposits, and payment transactions in coordination with Accounting and Treasury.

  • Reconcile bank statements and resolve discrepancies promptly.

  • Support month-end and year-end closing processes related to cash and banking.

  • Maintain accurate records of all cash management activities and documentation.

  • Liaise with banks to address service issues and optimize account structures.

  • Assist in implementing improvements to cash management systems and processes.

  • Ensure compliance with internal controls, company policies, and regulatory requirements.

  • Provide regular cash management reports and analysis to management.

  • Qualifications:

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