Treasury Officer - Cairo
منذ شهر

وصف الوظيفة
, consectetur adipiscing elit. Nullam tempor vestibulum ex, eget consequat quam pellentesque vel. Etiam congue sed elit nec elementum. Morbi diam metus, rutrum id eleifend ac, porta in lectus. Sed scelerisque a augue et ornare.
Donec lacinia nisi nec odio ultricies imperdiet.
Morbi a dolor dignissim, tristique enim et, semper lacus. Morbi laoreet sollicitudin justo eget eleifend. Donec felis augue, accumsan in dapibus a, mattis sed ligula.
Vestibulum at aliquet erat. Curabitur rhoncus urna vitae quam suscipit
, at pulvinar turpis lacinia. Mauris magna sem, dignissim finibus fermentum ac, placerat at ex. Pellentesque aliquet, lorem pulvinar mollis ornare, orci turpis fermentum urna, non ullamcorper ligula enim a ante. Duis dolor est, consectetur ut sapien lacinia, tempor condimentum purus.
احصل على الوصول الكامل إلى جميع الوظائف الرفيعة المستوى واحصل على وظيفة أحلامك.
وظائف مماثلة
A motivated Treasury Officer is required for a full-time on-site role in New Cairo Egypt to manage treasury functions ensuring efficient cash management and overseeing cash flow forecasts and implementing maintaining treasury policies procedures. · ...
منذ يومين
Bavely for Pest management is seeking a Treasury Officer to join our Finance team. The ideal candidate will be responsible for managing daily cash transactions and ensuring accurate financial records in line with company policies. · ...
منذ شهر
The Treasury officer is responsible for following the directions of the director of treasury to provide assistance in planning and executing all treasury operations ensuring optimal liquidity strong cash management efficient funding structures and full compliance with regulatory ...
منذ شهر
We are seeking a motivated · Treasury Officer for a full-time role located in New Cairo, Egypt. The primary responsibilities include managing treasury functions, · ensuring efficient cash management, · overseeing cash flow forecasts, · and implementing · & maintaining treasury p ...
منذ 3 أيام
The treasury officer is responsible for implementing financial and accounting procedures of the company. · ...
منذ شهر
· ...
منذ 5 أيام
About the job Treasury (Back office) Lead Analyst · The Treasury Back Office Lead Analyst is responsible for overseeing treasury back-office operations ensuring accurate settlement reconciliation reporting and compliance with internal controls and regulatory requirements. · ...
منذ يومين
The Treasury Back Office Lead Analyst oversees treasury back-office operations ensuring accurate settlement reconciliation reporting compliance with internal controls regulatory requirements. · ...
منذ يومين
The Treasury Operations Officer will be responsible for executing daily treasury activities and ensuring the accuracy and timeliness of all financial transactions, · including payments/loans/KYC documentation/bank account management.This is an execution-focused position supportin ...
منذ أسبوع
The Treasury Operations Officer will be responsible for executing daily treasury activities. · ...
منذ أسبوع
This position ensures accuracy integrity and compliance of financial transactions and records across specific functional areas of the University. · Affirmative action/equal opportunity employer. · ...
منذ أسبوعين
Monitor daily cash balances and ensure sufficient liquidity for operational needs. · ...
منذ شهر
Monitor daily cash balances and reconcile bank statements in a timely manner to ensure compliance with internal controls and regulatory requirements. · ...
منذ أسبوعين
Manage daily cash positioning forecasting and liquidity planning to ensure optimal cash utilization across the organization. · Demonstrated expertise in cash management banking operations and financial analysis. · ...
منذ شهر
+ Manage daily cash operations including monitoring bank balances cash positioning liquidity requirements Prepare execute payments ensuring compliance with internal controls authorization protocols Reconcile bank statements resolve discrepancies in a timely manner Monitor forecas ...
منذ 3 أسابيع
Manage daily cash flow activities, including monitoring bank balances and forecasting liquidity needs. · Prepare and process payments and transfers in compliance with company policies and regulatory requirements. · ...
منذ شهر
Treasury Specialist supports daily treasury activities. · ...
منذ شهر
About Khazna launched in 2020 with a mission to improve the financial well-being of the underbanked consumers by providing access to convenient, effective and secure smartphone-based financial services. · ...
منذ شهر
Manage daily cash operations, including monitoring bank balances and executing fund transfers. Prepare and reconcile cash flow forecasts to ensure optimal liquidity for business operations. · ...
منذ أسبوع
This position oversees cash flow forecasting, investment planning, financial risk mitigation strategies as well as responsible for managing banking relationships negotiating credit terms ensuring access to cost-effective financing · The successful candidate will have strong anal ...
منذ أسبوعين