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Treasury Accountant – Manage Cash & Trade Finance

packtec · 6th of October

Onsite Mid 🇬🇧 English
MS Excel ERP systems

Job description

About the role

We are looking for a Treasury Accountant to oversee daily treasury operations, cash positioning and trade finance activities for our manufacturing business.

Key responsibilities

  • Manage daily treasury operations and monitor cash positions.
  • Prepare and update cash flow forecasts.
  • Handle payments, collections, transfers and other treasury transactions.
  • Follow up on Letters of Credit (LCs) and Trade Finance transactions, including issuance, amendments and settlements.
  • Review LC documentation and coordinate with banks and internal departments.
  • Monitor bank charges, commissions and treasury‑related expenses.
  • Prepare treasury and cash flow reports.
  • Ensure accurate recording and proper documentation of all treasury activities.

Required profile

  • Bachelor’s degree in Accounting, Finance or a related field.
  • 2–5 years of treasury experience, preferably in a manufacturing/industrial environment.

Required skills

  • Practical knowledge of Letters of Credit and Trade Finance.
  • Strong understanding of cash flow and liquidity management.
  • Proficiency in MS Excel and ERP systems.

Questions fréquentes

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Published 2 weeks ago

Expires 1 month from now

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packtec

6th of October