Key ResponsibilitiesManage daily cash flow monitoring and reporting across the GroupPrepare and update cash flow forecasts (short-term & medium-term)Handle bank transactions, including transfers, payments, and collectionsPerform bank reconciliations and ensure accuracy of balancesMonitor company liquidity and ensure availability of funds for operationsCoordinate with banks regarding:FacilitiesLetters of credit / guaranteesAccount managementMaintain proper treasury records and documentation for audit purposesEnsure compliance with internal controls and financial policiesSystems & ReportingWork on ERP systems, preferably SAPEnsure accurate recording of treasury transactionsPrepare regular treasury reports for management review Bachelor’s degree in Accounting, Finance, or related field3 to 5 years of experience in treasury or finance rolesExperience in corporate treasury operations is preferredGood understanding of banking operations and financial instrumentsAdge 28 – 35Salary Range 15 -20 k