Job Openings Treasury Specialist

About the job Treasury Specialist

Job Title: Treasury Specialist

Department: Finance Department

Work Set Up: Hybrid

Reports To: Finance Manager



JOB SUMMARY

The Treasury Specialist is responsible for managing the organization’s cash flow, banking transactions, liquidity monitoring, and short-term investments. The position ensures that funds are properly safeguarded, available for operational requirements, and managed in accordance with approved financial policies and internal controls. Responsibilities

KEY RESPONSIBILITIES:

1. Cash Management

  • Monitor daily cash balances and ensure sufficient liquidity for operations.
  • Prepare cash position reports and cash flow forecasts.
  • Coordinate fund transfers between bank accounts as necessary.
  • Ensure timely deposit of collections and proper recording of receipts.

2. Banking Transactions

  • Process and monitor bank transactions, including payments, fund transfers, and check releases.
  • Prepare bank reconciliation statements on a regular basis.
  • Maintain updated records of bank accounts, signatories, and banking arrangements.
  • Liaise with banks regarding account issues, documentation, and other treasury-related concerns.

3. Disbursement Support

  • Review payment requests for completeness and proper authorization prior to release.
  • Ensure compliance with internal policies for cash disbursements.
  • Monitor post-dated checks and scheduled payments.

4. Investment and Fund Monitoring

  • Assist in managing short-term investments in accordance with approved investment policies.
  • Monitor maturities of time deposits and other financial instruments.
  • Prepare reports on investment balances and earnings.

5. Compliance and Internal Control

  • Ensure adherence to treasury policies, liquidity guidelines, and financial controls.
  • Support internal and external audit requirements by providing treasury-related documents.
  • Maintain confidentiality and safeguard financial information.

6. Reporting

  • Prepare periodic treasury reports (cash flow, bank balances, investment summaries).
  • Assist in financial planning and liquidity analysis.
  • Provide data to the Accounting and Finance departments as needed

QUALIFICATION AND REQUIREMENTS

  • Bachelor’s degree in Accountancy, Finance, Business Administration, or related field.
  • At least 1 year of experience in treasury, accounting, or finance.
  • Strong knowledge of cash management and banking procedures.
  • Proficient in MS Excel and accounting systems.
  • High level of integrity, accuracy, and attention to detail

SKILLS & COMPETENCIES

Technical Skills:

    • Analytical and problem-solving skills
    • Strong organizational skills
    • Attention to detail
    • Good communication skills
    • Ability to work under pressure and meet deadlines

GROWTH AND DEVELOPMENT OPPORTUNITIES

  • Opportunity to grow into senior treasury roles such as Senior Treasury Analyst, Treasury Manager, or Treasury Director based on performance and experience.

WORK ENVIRONMENT

  • Ability to work independently and as part of a team
  • Eagerness to learn and develop in a fast-paced environment.

EQUAL OPPORTUNITY STATEMENT

  • Dermorepubliq is an equal opportunity employer and is committed to fostering a diverse and inclusive work environment.