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HP

Treasury Accountant

Hyde Park Developments
🇪🇬 Egypt
On-site
1 month ago
  • SAP
  • Oracle
  • MS Office
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  • Assist in preparing and updating daily cash position reports to support accurate cash flow monitoring.
  • Conduct research and comparative analysis on bank rates for treasury bills and time deposits to help identify favorable investment opportunities.
  • Support communication and maintain operational touchpoints with external banks and financing companies.
  • Assist in running financial models to calculate portfolio Net Present Value (NPV) and track funds used to fill cash flow gaps.
  • Compile and review basic income, expense, and cash flow data for senior management.
  • Manage the daily processing of incoming/outgoing cheques, wire transfers, and cash deposits.
  • Monitor under-collection and bounced cheques, maintain tracking worksheets with rejection reasons, and coordinate follow-up actions with the Collections team.
  • Prepare daily re-deposit cheques for bank presentation and participate as a committee member in the monthly physical count of cheques.
  • Support the monthly manual closing process by recording routine bank transactions, expenses, and interest in SAP.
  • Bachelor’s degree in Accounting, Finance, or a related field.
  • Preferred experience in Real Estate.
  • 1-2 years of experience in a Treasury function.
  • Proficient in accounting software (e.g., Oracle, SAP), along with MS Office applications.
  • Excellent analytical and problem-solving skills.

Treasury Accountant · Hyde Park Developments

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