Hiring.Camp

Treasury Analyst II

RELX Jobs

·

2 weeks ago

Location
PHL-RE Shared Services-Manila, Philippines · Iloilo
Type
Full-time
Department
Finance
Experience
2+ years
Education
Bachelor
Source
Workday

Description

JOB SUMMARY:

Performs treasury operations involving cash funds, foreign exchange, debt and capital management. Provides analytical and technical support to treasury-related activities. Developing professional role with working knowledge in own discipline. Solves a range of routine problems. Demonstrates some proficiency with concepts and processes. Analyses possible solutions using standard procedures. Receives a moderate level of guidance and direction from more senior level roles.

Responsibilities:

  • Bank relationship - Establish relationship with existing bank partners and regularly look for process improvements, new technology that will improve customer experience

  • Check Vouchers processing - Process approved Invoices for payment via the accounting system

  • Funds Management - Ensuring funds availability for all disbursements requirements, such as but not limited to: Vendor payments, Employee reimbursements, Employee Advances, Government remittances, Intercompany settlements.

  • Cash Forecasting/Budgeting - Assist Finance lead in cash forecasting and budgeting, monthly, quarterly and yearly.

  • Performs treasury operations involving cash funds, foreign exchange, debt and capital management.

  • OR issuances - Primary responsible for official receipt issuances to all clients and ensuring that these are align with all the recorded collections and supported by Inward remittance certificates from bank partners.

  • Reconciliation - Collection vs. Billing Invoice, Debit/Credit memos reconciliation, in partnership with AR/Billing team.

  • Bank Verifications - Responsible for payout verification for Payroll, AP, T&E, and various government remittances

  • Weekly paycycle - Establish and maintain a weekly paycycle process for Vendor payments.

  • Monthly cash revaluation - responsible for monthly cash closing activity specific to Cash revaluation Technical Competencies 1. Conceptual and practical knowledge in Cash Management and revaluation

  • Provides analytical and technical support to treasury-related activities.

Job Qualifications:

  • Bachelor's Degree in Accounting, or related field preferred.

  • Certified Public Accountant is a plus.

  • Experience in Fund Management and Treasury Accounting for at least 2 years

  • Proficient in MS Office - Excel

  • Conceptual and practical knowledge in Cash Management and revaluations

  • High numeracy and excellent technical skills

  • Strong attention to detail

  • Strong background in AP processing, Record to Report/Procure-to-Pay

  • Experience in releasing checks, reporting, cash forecasting and budgeting.

  • Willing to be placed on a flexible schedule.

  • Ability to quickly learn and apply enterprise AI tools and technologies to support technical workflows and business objectives

We know your well-being and happiness are key to a long and successful career. We are delighted to offer country specific benefits. Click here to access benefits specific to your location.

We are committed to providing a fair and accessible hiring process. If you have a disability or other need that requires accommodation or adjustment, please let us know by completing our Applicant Request Support Form or please contact 1-855-833-5120.

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We are an equal opportunity employer: qualified applicants are considered for and treated during employment without regard to race, color, creed, religion, sex, national origin, citizenship status, disability status, protected veteran status, age, marital status, sexual orientation, gender identity, genetic information, or any other characteristic protected by law.

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Skills

Excel

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