Treasury Management
- Develop treasury management procedures and train the team.
- Manage the Group’s cash flow and liquidity.
- Manage the Group’s financial transactions.
- Prepare treasury reports.
- Supervise banking operations.
- Perform bank reconciliations.
- Manage relationships with financial institutions.
- Ensure the optimization of financial resources.
Accounts Receivable and Credit
- Define and implement credit policies.
- Supervise invoicing and collection processes.
- Monitor collection deadlines and customer aging.
- Ensure the reduction of bad debt risk.
- Implement debt recovery strategies.
Accounts Payable
- Manage the Group’s cash outflow.
- Define the daily, weekly, and monthly payment schedule.
- Coordinate payments while ensuring cash balance stability.
- Ensure proper recording and supporting documentation of payments made in compliance with tax legislation.
- Ensure compliance with supplier deadlines.
- Negotiate invoice payment terms.
- Prioritize payments according to the Group’s financial strategy.
Qualifications:
- Bachelor’s degree in Accounting, Management, Finance, or related fields.
- Minimum of 10 years of experience in treasury, credit, and collections.
- Solid experience in liquidity management and banking operations.
- Experience working in high-volume transactional environments.
- Experience in financial risk and credit management.