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Full-timeOn-site
  • Port Louis
  • Salary not disclosed
  • Posted Sep 7, 2026
  • Closing 07/10/2026

Job Description

In this Treasury Accountant position

  • Execute daily cash management activities in line with internal controls to arrive at accurate and timely cash position
  • Adherence to payment related internal controls
  • Execute monthly accounting and reporting activities in line with in accordance with the month end closed timetable and DP DHL guidelines, (e.g. IAS/IFRS principles and local GAAP)
  • Overseeing bank and payment postings are accurately reflected in the general ledger
  • Electronic distribution of remittance advices
  • Posting of bank statement daily
  • Perform cash & bank reconciliation
  • Allocation and analysis of transitory accounts
  • Send payment proposal to countries on weekly basis
  • Execute payments in bank portal
  • Follow up on payments – if not cleared in bank
  • Clear all queries raised by respective entities/stakeholders on a timely basis
  • Manage physical and electronic archives in an accurate and timely manner
  • Collect and accurately maintain relevant Treasury information and records
  • Timely resolve escalated issues - Develop strong, trusting cross-functional relationships with Stakeholders
  • Achieve compliance with defined standards and processes - MOM/GOM
  • Record daily cash transactions and compile, verify and analyze cash flow information to prepare accurate daily, weekly and monthly cash status reports
  • Receive, verify, and process cash, credit card, cheque or other payments from customers, employees, and other parties; issue receipts and record transactions
  • Prepare cheques or make cash payments to employees, customers, suppliers or other parties or for approved expenditures or refunds
  • Contribute to projects such as stock option plans, acquisitions, etc. and preparation of annual financial statements
  • Maintain accurate records, prepare bank deposits, and periodically balance cashbooks
  • Provide administrative support for day to day defined treasury operations and transactions

 Now, here is what we need from you!

  • Strong analytical skills. Detail oriented and ability to work and interpret figures and other financial information
  • Strong written and oral communication skills
  •  Ability to address issues and effect change
  • Ability to always demonstrate a professional and objective perspective
  • A 'can-do' attitude and resilient character with the ability to manage expectations
  • Ability to work independently
  • Excellent inter-personal skills and capacity to work effectively within a team
  • High sense of confidentiality and discretion
  • Education:Any professional qualification equivalent to ACCA Level 1 or Degree in Accounting/Finance

We offer:

  • Opportunities in a global company where you can contribute your ideas and skills to move towards our shared goals.
  • Possible further career development
  • Competitive salary