Provide short-term support to the Treasury team within the Financial Planning & Analysis (FP&A).
Duties & Responsibilities:
Application for new cards and increase in limits
• Receipt of funding requests from accountants
• Maintenance of bank statements folder, daily downloads
• Prepare bank position report
• Look at bank position and then prepare bank transfers (IB and Manual) for replenishment
• Maintenance of Projects Tracker (Proceeds/Expenses)
• Monitoring of treasury dashboard and escalate anomalies to IT
• Co-ordinate bank dispatches
• Co-ordinate Directors’ signature.
Qualifications and Experience: