Treasury Specialist - Reconcillation

Cepat Kredit Financing Inc.

₺10.9-14.5K[Aylık]
Tesis içi - Pasig1-3 Yıl TecrübeÜniversite mezunuTam zamanlı
Paylaşmak

İş tanımı

Avantajlar

  • Çalışan Takdiri ve Ödüllendirme

    Performans bonusu, Teşvikler

  • Devletin Zorunlu Sağladığı Faydalar

    13. Ay Ödemesi, Çalışan Kredisi, Pag-Ibig Fonu, Ücretli tatil, Philhealth, SSS/GSIS

  • Sigorta Sağlık ve Wellness

    Sağlık sigortası, HMO

  • Profesyönel geliştirme

    Mesleki Eğitim

  • İzin ve İzin

    Doğum Günü İzni, Hükümetin Zorunlu İzin, Hastalık İzni, Tatil İzni

Devamını oku

DUTIES AND RESPONSIBILITIES: 

  • Prepare and perform daily bank reconciliations, ensuring all transactions are accurately recorded and matched against company books. 
  • Verify and validate bank transactions, deposits, withdrawals, and fund transfers to ensure completeness and accuracy. 
  • Investigate and resolve reconciliation discrepancies in a timely manner by coordinating with relevant departments and financial institutions. 
  • Monitor outstanding reconciling items and ensure proper follow-up and resolution within set timelines. 
  • Assist in the preparation of monthly and quarterly reconciliation reports for management review. 
  • Maintain accurate and organized records of bank statements, reconciliation schedules, and supporting documents. 
  • Ensure that all reconciling entries are properly documented and supported with valid evidence. 
  • Coordinate with the Accounting Department to ensure consistent and accurate posting of treasury transactions. 
  • Assist in monitoring and reconciling intercompany fund transfers and internal cash movements. 
  • Reconcile bank charges and loan payments, ensuring accuracy of postings and timely resolution of discrepancies. 
  • Submit weekly status of float collections to Collections and Customer Service for monitoring and timely posting. 
  • Support Treasury in ensuring compliance with company policies, internal controls, and regulatory requirements related to cash management and reconciliation. 
  • Prepare summaries and analysis of bank account activities for Treasury Supervisor and/or Treasury Manager. 
  • Assist Treasury Department with various administrative and reporting tasks as assigned. 

 

KEY REQUIREMENTS: 

  • Bachelor's Degree in Finance, Accounting, or a related field.  
  • Familiarity with Microsoft Office (Excel, Word, etc.) 
  • Strong ability to manage, organize, and maintain physical and digital files systematically. 
  • Basic knowledge of scanning, printing, and other office equipment. 
  • Strong attention to detail and accuracy in handling financial data and documentation. 
  • Proactive attitude in assisting team members with documentation needs. 
  • Resourcefulness in finding solutions to meet posting requirements. 
  • Maintaining professionalism and confidentiality in handling client information. 
  • Strong communication skills, both written and verbal, for liaising with other departments and external parties. 
  • Good organizational skills with the ability to manage multiple tasks and meet deadlines. 
Preview

Annielou Escalona

HR OfficerCepat Kredit Financing Inc.

Bugün 1 Kez Yanıtla

Çalışma konumu

Room 2402, Jollibee Plaza, F. Ortigas Jr. Rd, Ortigas Center, Pasig, Metro Manila, Philippines

Yayınlandı 05 January 2026

Rapor

Bossjob Güvenlik Hatırlatması

Eğer pozisyon yurt dışında çalışmanızı gerektiriyorsa lütfen dikkatli olun ve dolandırıcılığa karşı dikkatli olun.

İş arayışınız sırasında aşağıdaki davranışlara sahip bir işverenle karşılaşırsanız, lütfen hemen bildirin

  • kimliğinizi saklıyor,
  • bir garanti vermenizi veya mülkünüzü tahsil etmenizi gerektiriyorsa,
  • sizi yatırım yapmaya veya fon toplamaya zorluyorsa,
  • Yasadışı menfaatler topluyor,
  • veya diğer yasa dışı durumlar.
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