Job Description
Key Responsibilities
- Accounts management
Process and monitor accounts receivables and payables to ensure timely and accurate financial transactions.
- Payment and collection tracking
Monitor incoming and outgoing payments, collections, and disbursements for proper cash flow oversight.
- Treasury support
Assist in managing cash flow, funding requirements, and treasury-related activities of the branch.
- Financial reporting
Prepare financial statements, reports, and reconciliations to support accurate branch accounting.
- Regulatory and policy compliance
Ensure all financial activities follow company policies, accounting standards, and government regulations.
- Coordination with teams and partners
Collaborate with internal departments and external partners to complete financial processes and resolve issues.