A global packaging manufacturer is seeking a Treasury Analyst. The selected candidate will oversee daily cash management, forex transactions, and cash flow analysis.
Responsibilities:
- Review daily cash transactions via banking systems
- Analyse and compile cash flow forecasts
- Manage journal entries, monthly closures, and P&L transfers
- Reconcile internal AP and AR for payments
- Administer FX contracts and reporting
- Collaborate with Controllers and Sales team for administrative tasks
Requirements:
- More than 3 years of experience in accounting or treasury
- Possess valid Bookkeeping grade 2+ qualification is ideal
About the Company:
An international manufacturer of packaging products for foods and beverages with operations in more than 100 countries and a global workforce numbering in the tens of thousands. The company is well-known for safe, quality products achieved through their dedication to excellent customer service.
Keywords:
アカウンティング, ファイナンス, 経理, 財務, 会計, 求人, 外資系
2087140/001