Descripción
Job Purpose
The Cash Operations Department is seeking a Cash Operations Analyst to perform daily responsibilities related to the company's collateral and custody operations. The qualified candidate must be very detail oriented, able to work independently, able to manage multiple priorities under tight deadlines, and able to effectively liaise with both internal and external customers.
The position reports to the Cash Operations Team Leader. In order to provide satisfactory service the position must focus on:
Ensure activities posted to both cash and clearing GL accounts are reviewed and reconciled in a timely manner
Perform bank reconciliations - reconciliation of the bank statement against the GL and reconciliation of any assigned clearing accounts
Production of daily and weekly cash flow forecasts
Bank statement upload
Approving payments in banking portal
EOM activities- preparation of external and intercompany accruals/deferrals in relation to interest and bank fees
Reconciliation of intercompany loans with the corresponding Group companies (Intercompany Loan Reconciliation).
Cash and payment transaction research and issue resolution
Assist with other additional reporting requirements as needed
Knowledge, Skills and Experience
Skills
Ability to be proactive and resolve issues under own initiative
Able to work effectively in time pressured situations ensuring reporting deadlines are met
Ability to work well in a multi-tasking environment
Able to communicate clearly with colleagues, management and stakeholders from other cultures
Able to interact openly and directly with others in the team
Ability to analyze data concisely and effectively in often time pressured situations
Able to produce accurate and concise analysis for senior management review
Knowledge
Working knowledge of SAP
Advanced computer skills especially Excel, Word y Outlook
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Número de vacantes
1
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Tipo de contrato
Duración determinada
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Salario
20000 - 25000 Bruto/Año