Determining country cash levels through cash flows and positions.
Managing country liquidity efficiently through maximize applied credit interest and minimize any costs.
Managing cash investment opportunities i.e. T-Bills
Ensure that accounts are funded in right currency and on-time
Reviewing the pricing of cash management products
Ensure proper records are maintained in Treasury Management Systems (TMS) for all transaction, as well as support treasury transformation projects, including further roll-out of TMS workstreams.
Managing bank accounts rationalization to reduce number of bank accounts across Egypt.
Analyse direct cash flow forecast on a bi-weekly basis in conjunction with divisions and business units (FP&A) teams
Ensure compliance with group treasury policies
Provide inputs to Governance, Risk Control & Transformation (GTC/GRCT) team on all reporting aspects.
Coordinate with TBOT to run daily cash position reports & the execution of trade operations.
Oversee all aspects of trade finance transactions (Letter of Guarantees, Letter of Credits, Documents for Collection, Working Capital Short Term Loans, etc.) on behalf of Egypt businesses.
Select the most competitive quotes from the banks for trade finance transactions.
Handling intercompany loans covering trade finance transaction with local banks in terms of documentation and settlement of drawdowns against the shipments.
Liaison with business, principles, and banks to structure trade finance instrument terms.
إخلاء المسؤولية: د.جوب هو مجرد منصة تربط بين الباحثين عن عمل وأصحاب العمل. ننصح المتقدمين بإجراء بحث مستقل خاص بهم في أوراق اعتماد صاحب العمل المحتمل.
نحن نحرص على ألا يتم طلب أي مدفوعات مالية من قبل عملائنا، وبالتالي فإننا ننصح بعدم مشاركة أي معلومات شخصية أو متعلقة بالحسابات المصرفية مع أي طرف ثالث. إذا كنت تشك في وقوع أي احتيال أو سوء تصرف، فيرجى التواصل معنا من خلال تعبئة النموذج الموجود على الصفحة اتصل بنا