Treasury Specialist

Qualifications:

  • Preferably a graduate of Business Administration, Economics and Finance or equivalent.
  • Has at least 1 year of actual experience in bank transactions or treasury operations
  • Has knowledge in payment systems and transactional dealings
  • Strong writing and communication skills along with attention to detail
  • Analysis and Problem Solving Skills

 

Responsibilities:

  • Perform daily clearing operations and ensure efficient operations of inward clearing of checks.
  •  Overseeing the inventory of check booklets and procurement.
  • Managing and overseeing operating and settlement accounts; Manage document updates for banking compliance.
  • Prepare daily bank account balance transactions and markings; Prepares reports.