Accountant, Cash Management
1 hour ago
Our client is a state-owned public corporation responsible for all phases of the Oil and Gas industry in the State of Qatar.
**About the role**:
Perform cash management function to ensure that all payment requests are planned, properly authorized and timely executed based on authorized payment requests, and excess liquidity is maximized for investment at higher interest rates.
- Plans cash flows, by developing, implementing and monitoring processes to gather information about all cash flows to ensure that (1) Company's excess liquidity is maximized for investment purposes and (2) Company's payment obligations are timely met.
- Actively coordinates and communicates with management of JV's, subsidiaries and Company divisions and departments to ensure timely provision of accurate payments and other cash flows. Recommends amounts to be invested.
- Surveys, reviews and negotiates for optimal foreign exchange rates from banks for any third currency payment and foreign exchange conversion.
- Initiates, proposes and executes strategies to further automate the cash management function through the use of SAP Cash Management Module.
- Acts as the focal point for banks in relation to all matters pertaining to bank accounts, payment systems, payments and bank-reconciliation.
- Ensures that payment processes are reliable, safe and secure in compliance with Company's policies and procedures. Monitors that payments are properly authorized in line with the Manual of Authority.
- Ensures that the multi-year implementation project to implement SWIFT and SAP Bank Communication Manager meets the requirements of the Financial Accounting Department, through close coordination with banks, SWIFT and the SAP ICT consultants.
- Manages imprest funds and ensures that all requests to replenish imprest funds are properly authorized through reconciliation and prepare payment orders for approval.
- Reviews and validates cash calls from the business for operational and capital expenditures, and proposes the cash calls for endorsement by FFT and approval by Management.
**About you**:
- Bachelors in Finance / Commerce / Business / Accounting and/or globally accepted professional qualifications like a Certified Public Accountant / Chartered Accountant / Cost & Management Accountant etc.
- At least 8-10 years of experience in medium to large organization with adequate exposure to accounting & finance functions. Previous experience in similar capacity in an oil and gas industry would be an advantage
- Knowledge of systems in a computerized business environment which includes knowledge and experience in MS Office packages, SAP or similar advanced ERP systems.
-
Singapore Silq Full time $80,000 - $120,000 per yearJob Summary:We are seeking a detail-oriented and skilled Accountant with expertise in consolidation and cash management. The ideal candidate will be responsible for preparing consolidated financial statements, managing cash flow, and ensuring accurate and timely financial reporting. The role requires proficiency in accounting principles, as well as the...
-
Accountant - Consolidation and Cash Management
14 hours ago
Singapore SILQ PTE. LTD. Full timeJob Summary: We are seeking a detail-oriented and skilled Accountant with expertise in consolidation and cash management. The ideal candidate will be responsible for preparing consolidated financial statements, managing cash flow, and ensuring accurate and timely financial reporting. The role requires proficiency in accounting principles, as well as the...
-
Accountant - Investment & Cash Management
2 days ago
Central Singapore BTI Executive Search Full timeA newly created position - Family Office - Attractive Package You will be responsible for the accounting and analysis of a diversified portfolio of investment activities of the Family Office, including ensuring sufficient liquidity at all times. - Prepare consolidated financial reports for the Family Office. - Prepare reports of investment portfolio: asset...
-
Cash Reconciliation Officer
7 days ago
Singapore SEARCH INDEX PTE. LTD. Full timeCash Settlement / Liquidity Management / Cash Reconciliation Exp - Finance / Accounting / Business or related discipline Job Scope: - Review and perform investigation on discrepancy accounts, data and transactions, and where necessary reconciliation to rectify discrepancies - Prepare reporting and support if any follow-up actions - Prepare tender documents...
-
Cash Reconciliation Officer
2 weeks ago
Singapore SEARCH INDEX PTE. LTD. Full timeDeg / Dip in Accounting / Business / Finance - Cash Reconciliation / Cash Settlement Job Scope: - Review and perform investigation on discrepancy accounts, data and transactions, and where necessary reconciliation to rectify discrepancies - Prepare reporting and support if any follow-up actions - Prepare tender documents of contracts for new / existing...
-
Cash Reconciliation Officer
1 hour ago
Singapore SEARCH INDEX PTE. LTD. Full timeCash Settlement / Cash Reconciliation from Banking / Finance Industry Exp - Diploma in Accountancy / Finance - No Exp Are Welcome To Apply Job Scope: - Perform investigation on discrepancy accounts, data and transactions, and necessary reconciliation to rectify discrepancies - Prepare reporting and support if any follow-up actions - Prepare tender...
-
Cash Management
1 week ago
Singapore ZIJIN (SINGAPORE) INTERNATIONAL MINING PTE. LTD. Full time**Key Responsibilities** **1. Cash & Bank Operations** - Execute daily vendor payments, staff reimbursements, and intercompany fund transfers. - Record and process incoming funds from customers, and coordinate with the team to facilitate the workflow on Finance Sharing Platform. - Monitor bank balances and ensure sufficient funds for operations. - Handling...
-
Treasury Analyst
2 days ago
Singapore SEARCH INDEX PTE. LTD. Full time**Cash Management / Treasury Exp**: - **Cash Settlement / Liquidity Management Exp**: - **Finance / Banking industry Exp** **Job Scope**: - Plan, implement and review the Group’s overall Cash Management strategy - Supporting the business by understanding the processes, optimizing its operation and implement appropriate solutions - Review and perform...
-
Cash Reconciliation Officer
1 week ago
Singapore SEARCH INDEX PTE. LTD. Full timeCash Settlement / Liquidity Management / Cash Reconciliation from Banking / Finance Industry Exp - No Exp Are Welcome To Apply Job Scope: - Perform investigation on discrepancy accounts, data and transactions, and necessary reconciliation to rectify discrepancies - Prepare reporting and support if any follow-up actions - Prepare tender documents of...
-
Assistant Manager, Treasury
1 week ago
Singapore Far East Organization Full time**Responsibilities**: - Support the Team Lead and Head of Treasury in the capital management for new projects and investments. - Ensure optimal capital structure of Group entities. - Assist in the monitoring and management of the Group's cash position, liquidity planning and deployment of surplus funds. - Collaborate with Tax Department on the repatriation...