
Treasury Manager
1 day ago
JOB OBJECTIVIE:
Responsible for overseeing the company's cash management activities and banking transactions. Manages the day-to-day operational treasury activities and develop treasury management systems to ensure control and internal procedures are adequate.
DUTIES AND RESPONSIBILITIES:
1. Liquidity and Cash Flow Management
· Monitors daily funding and cash position to ensure sufficient liquidity for loan disbursements and operational expenses.
· Manages interbank transfers, placements, and loan availments.
· Prepares and analyzes cash flow forecasts to anticipate funding needs.
· Supervises overall cash inflows and outflows, and facilitates funding requests from banks, investors, or owners.
2. Budgeting and Expense Monitoring
· Reviews and consolidates monthly operating expense budgets across departments.
· Analyzes budget variances and reports utilization to management with actionable insights.
3. Accounts Payable Oversight
· Ensures timely and accurate payments in accordance with agreed terms.
· Monitors aging of payables to avoid delays and penalties.
4. Treasury and Management Reporting
· Prepares and submits weekly cash flow forecasts to the Group Treasurer.
· Reports funding updates and requirements to the Executive Committee.
· Provides Treasury operations updates to the Management Committee.
5. Bank Relations and Credit Line Management
· Requests and negotiates new credit line facilities and ensures timely renewal of existing lines.
· Monitors compliance with financial covenants and average daily balance requirements.
· Coordinates opening and annual updating of current accounts and signatory lists.
· Recommends waivers for penalties due to bank or processing errors.
· Facilitates any requests related to the financing of employee car plan.
6. Asset Security and Documentation Control
· Ensures safekeeping of contracts, cash, checks, post-dated checks, and other accountable forms in the Treasury vault.
· Maintains confidentiality of the vault combination.
· Verifies that all financial transactions are supported by complete and valid documentation.
· Coordinates with Legal and Compliance to ensure contracts meet internal standards and regulatory requirements.
7. Process Improvement and Policy Development
· Recommends and implements cash management policies and systems to streamline operations.
· Proposes policies that safeguard company resources and enhance treasury efficiency.
8. Leadership and Team Management
· Leads and develops the Treasury team by setting goals, assigning tasks, and providing coaching and feedback.
· Conducts performance evaluations and recommends appropriate personnel actions, including hiring, training, and disciplinary measures.
· Ensures staff are trained and updated on new systems, policies, and procedures.
· Reviews and validates treasury reports such as Daily Collection Remittance Report, Petty Cash Replenishment, Deposited Check Report, and Bounced Check Report.
· Addresses borrower inquiries and complaints by coordinating with banks, branches, or relevant parties for resolution.
9. Other Responsibilities
· Performs other related functions as assigned by higher management.
JOB SPECIFICATIONS:
1. Education & Certification
o Must be a Certified Public Accountant (CPA).
2. Work Experience
o Minimum of five (5) years of professional experience in Treasury or Accounting.
o At least two (2) years in a managerial or supervisory capacity.
3. Technical Knowledge & Skills
o Strong understanding of cash handling systems, treasury operations, and related processes.
o Extensive experience in managing credit lines and corporate notes, including renewals, compliance monitoring, and documentation.
o Proficient in policy and procedure evaluation, formulation, and implementation.
o Advanced mathematical, analytical, planning, and organizational skills.
o Highly detail-oriented and meticulous in preparing documentation.
o Computer-proficient, with working knowledge of relevant financial systems and tools.
4. Behavioral Competencies
o Demonstrates a high level of integrity, professionalism, and loyalty.
o Quality- and process-minded, with a proactive approach to problem-solving.
o Possesses strong interpersonal skills; able to collaborate effectively with internal teams and external stakeholders.
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