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Field Outsource Asia Inc., Linkedin · Posted 1mo ago

Treasury Assistant

Makati, National Capital Region (Metro Manila), Philippines

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Indexed description

Job Requirements

  • Bachelors Degree in Accounting or any finance related course
  • Solid understanding or basic accounting principles and practices.
  • At least one Treasury experience
  • Excellent organizational and communication skills
  • Near Poblacion Makati

Responsibilities

Key Duties and Responsibilities

  • Internal Controls and Compliance
  • Ensure compliance with company treasury policies, accounting procedures, and internal control requirements
  • Ensure all treasury transactions are properly authorized, documented, and supported
  • Perform an independent verification of payee names, bank account numbers, and payment details prior to endorsement
  • Maintain strict confidentiality over bank accounts, cash positions, and sensitive financial information
  • Cash Management and Liquidity Monitoring
  • Monitor daily cash positions and bank balances across all company bank accounts
  • Ensure sufficient funds are available to meet operational and payment requirements
  • Prepare daily or periodic cash position and liquidity reports for management review
  • Monitor projected cash inflows and outflows to support effective cash planning
  • Payment Review, Endorsement, and Bank Transactions
  • Receive consolidated and approved-for-payment summaries and attachments from the Senior Accountant
  • Review payment summaries and supporting documents for completeness and consistency
  • Verify correctness of payee names, bank account details - ensuring it matches the Electronic Fund Transfer Form, payment amounts, and approved payment methods
  • Endorse payment summaries and attachments to the Accounting Manager for final review and approval
  • After final approval, fund and release payments through the bank system based on approved instructions
  • Execute bank transfers, check releases, and online payments accurately and on time
  • Maintain complete records of payment approvals, endorsements, and bank confirmations
  • Prepare and issue payment advice & Form 2307 to vendors to confirm settlement of obligations.
  • Bank Account Administration
  • Maintain and monitor all company bank accounts and banking platforms
  • Coordinate with banks regarding account maintenance, documentation, and transaction issues
  • Assist in opening, modifying, or closing bank accounts upon management approval
  • Safeguard bank access credentials and ensure proper use of banking systems
  • Accounts Receivable Monitoring and Collection Support
  • Monitor accounts receivable balances and aging schedules on a regular basis
  • Track customer collections and ensure timely identification of received payments
  • Follow up with internal departments regarding overdue accounts
  • Coordinate with Sales, Accounting, and Management on collection status and issues
  • Escalate potential collection risks and significant overdue balances to management
  • Reconciliation and Coordination with Accounting
  • Coordinate with the Senior Accountant on bank reconciliations and cash-related discrepancies
  • Ensure all cash receipts and disbursements are fully and accurately recorded in the accounting system
  • Provide complete supporting documents for bank movements and treasury transactions
  • Assist in resolving reconciling items related to cash and accounts receivable
  • Reporting and Month-End Support
  • Prepare treasury-related reports such as cash position, payment funding status, and collection summaries
  • Provide cash availability and receivables updates to management on a regular basis
  • Support month-end and year-end closing activities related to cash and receivables
  • Provide schedules and documentation required for audits and management review
  • File Maintenance
  • Update both digital and hard copy files, ensuring consistency and completeness
  • Safeguard all payment-related records to meet internal policies, audit requirements, and government regulations (A/Rs and or O/Rs)
  • Process Improvement and Other Responsibilities
  • Identify opportunities to improve treasury controls, payment security, and efficiency
  • Assist in implementing approved improvements to treasury and collection processes
  • Perform other treasury- or finance-related tasks as assigned by management
  • Other Duties
  • Perform other related tasks and responsibilities as may be required by the management
  • Carry out directives and special assignments as requested by management to support overall business objectives.
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