Quick Summary
Overview
As a Treasury Officer you will ensure the accuracy and timely handling of Treasury risk processes in scope such as but not limited to Cash Management, Account Management, Credit Facilities,
Technical Tools
Finance & AccountingTreasury
As a Treasury Officer you will ensure the accuracy and timely handling of Treasury risk processes in scope such as but not limited to Cash Management, Account Management, Credit Facilities, Foreign Exchange, Loans, and Banking Relations to meet financial commitments and requirements.
Contribute to ensuring that the Treasury team is adequate and functional.
Responsibilities
~1 min read- →This position reports to the Sr. Treasury Manager, assisting in proper cash management, cash flow monitoring and forecasting and loans management.
- →Reviews / executes fund transfers, FX, investments, importation and other Treasury related transactions in the accounting system and with the banks without delay.
- →Ensures liquidity / funding to meet all obligations.
- →Supports the Finance team in bank requirements and bank reconciliation ensuring accurate and timely closing process and reporting.
- →Reviews / prepares documentary requirements and assists in liaising with the banks on account management, credit facilities and issue resolution. This includes ensuring the approval matrix is implemented.
- →Develops a strong professional relationship with key company officers and employees, banks, customers and suppliers in order to execute routine Treasury transactions.
- →Contributes to process improvements by adopting modern technology and current business practices. Actively participates in projects, software upgrades, testing and implementation.
- →Prepares, updates and maintains all cash and loans management monitoring files and reports; Ensures safekeeping of important corporate documents.
- →Ensures compliance with Internal Controls, Audit and Business Continuity Plan.
Requirements
~1 min read- Bachelor of Science in Accountancy or Finance or any business-related course
- Minimum of 5 years in Treasury Operations, Finance and Accounting related experience
- Knowledge and experience of relevant Treasury and Banking applications
- Knowledge in Accounting Systems and proficient in Microsoft Office
- Knowledge in Auditing Procedure, Financial Analysis and Account Management
- Good oral and written communication skills
- Willing to work onsite (Marikina City) from Mondays to Fridays from 9 AM to 6 PM
Location & Eligibility
Where is the job
Marikina City, Philippines
On-site at the office
Who can apply
PH
Listing Details
- First seen
- September 25, 2026
- Last seen
- September 29, 2026
Posting Health
- Days active
- 3
- Repost count
- 0
- Trust Level
- 57%
- Scored at
- September 29, 2026
Signal breakdown
freshnesssource trustcontent trustemployer trust
External application
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