Description
Position Summary:
We are seeking a Treasury Analyst to ensure cash flow management and compliance with monthly accounting closings.
Key Highlights:
1. Manages daily cash flow and bank position.
2. Schedules and executes payments, overseeing operational processes.
3. Handles SAP and telebanking for financial control.
**Job Posting: Treasury Analyst**
**Position Mission**
Maintain a consistent and appropriate cash flow generated from billing and collections processes, ensuring the smooth execution of financial operations and compliance with monthly accounting closings.
**Main Functions and Responsibilities**
* Cash Flow Management:
* Daily Bank Position and Foreign Exchange:
* Payment Scheduling and Execution:
* ERP (SAP) and Telebanking Management:
* Operational Process Oversight:
* Securities and Guarantees Control:
* Integrated Management System (IMS) Management:
**Candidate Profile**
* **Education:** Bachelor's degree in Economics, Business Administration, Accounting, or related fields.
* **Specialization:** Specialized courses in Treasury or Corporate Finance.
* **Technical Knowledge:**
* Proficiency in Microsoft Office (Intermediate/Advanced Excel).
* Familiarity with Treasury modules in SAP and telebanking platforms is desirable.
* **Experience:** Minimum **2 years** of experience in similar or equivalent roles.
Salary: Starting from S/.2,700\.00 per month
Application Question(s):
* Describe your treasury experience
* Contact WhatsApp number
* District of residence
Work Location: On-site employment