Key Responsibilities:
✅ Process and monitor cash flow, payments, and bank transactions
✅ Assist in fund management and ensure timely disbursements
✅ Reconcile bank statements and financial records
✅ Maintain accurate treasury reports and documentation
✅ Support budgeting, forecasting, and financial planning activities
Job Qualifications:
✔️ Bachelor’s degree in Accounting, Finance, or related field
✔️ Experience in treasury, finance, or accounting is an adavantage
✔️ Proficiency in MS Excel and accounting software
✔️ Strong analytical and problem-solving skills
✔️ High level of integrity and attention to detail