Treasury Specialist - Reconcillation

Cepat Kredit Financing Inc.

R$1.4-1.8K[Mensual]
No - Pasig1-3 Anos ExpBacharelTempo Inteiro
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Descrição do Trabalho

Benefícios

  • Recompensas e reconhecimento de funcionário

    Bônus de desempenho, Incentivos

  • Benefícios gerenciados pelo Governo

    Pagamento no décimo terceiro mês, Empréstimo para Funcionários, Fundo Pag-Ibig, Feriados Pagos, Saúde, SSS/GSIS

  • Saúde e Bem-Estar

    Seguro de saúde, HMO

  • Desenvolvimento Profissional

    Treinamento de Trabalho

  • Tempo de desligamento e Saída

    Licença de aniversário, Maternidade e licença de paternidade, Licença médica, Férias Deixadas

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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.

Responder Hoje 0 Vezes

Local de trabalho

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

Postado em 05 January 2026

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