international client is seeking a dynamic Bank and Cash Supervisor, and you could be the perfect fit This related to banking transactions Cash Management: Maintain accurate records of cash transactions and balances the safekeeping of cash and valuables by implementing security measures Prepare cash flow forecasts to optimize cash resources and minimize idle cash Financial Reporting: Prepare regular reports on cash balances balances, bank reconciliations, and cash flow projections for management review Analyze financial data to
international client is on the lookout for a driven Bank and Cash Supervisor to join their dynamic team. This isn't related to banking transactions Cash Management: Maintain accurate records of cash transactions and balances the safekeeping of cash and valuables by implementing security measures Prepare cash flow forecasts to optimize cash resources and minimize idle cash Financial Reporting: Prepare regular reports on cash balances balances, bank reconciliations, and cash flow projections for management review Analyze financial data to
individual to fill the crucial position of Bank and Cash Supervisor. This role isn't just about managing related to banking transactions Cash Management: Maintain accurate records of cash transactions and balances the safekeeping of cash and valuables by implementing security measures Prepare cash flow forecasts to optimize cash resources and minimize idle cash Financial Reporting: Prepare regular reports on cash balances balances, bank reconciliations, and cash flow projections for management review Analyze financial data to
ties include:
Budgeting and Cash Flow Forecast
Statements
Reconciling Cash customer Account on Pastel
Daily Reconciliation of Cash Customer Account
Weekly excel reconciliation of cash customer account
General Administration
Consultant:
You will manage the companys cash flow by minimising net interest costs, maintaining bank mandates
mandates, managing the companys cash management system, taking responsibility for the group's operational
/>Strong attention to detail
Understanding of cash management and risk management
role in the daily, weekly and monthly Order-to-Cash and Cash Office teams.
Duties will include
but are not limited to:
role in the daily, weekly and monthly Order-to-Cash and Cash Office teams.
Duties will include
but are not limited to:
following:
Manage the companys cash flow
by monitoring cash balances and minimizing net interest
all Bank Mandates
Manage the company's cash management systems (including online banking and
in treasury or finance, with an understanding of cash management and risk management principles
Must
including income statements, balance sheets, and cash flow statements.