Egis is a global organisation with over 20,000 employees worldwide. With our Head Office based in Paris, we offer global career opportunities, as well as offer rewarding careers for our people locally. Drawing on our deep pool of expertise, we create innovative solutions with our clients worldwide.
Egis is an organisation with a capacity to make meaningful industry and community change in the space of place making, sustainability and creating connected cities. Different to other engineering firms, Egis offers true end to end capability across the entire design to operation lifecycle, offering advisory, architecture, engineering, design, asset management and operations services.
We are committed to creating great teams doing innovative work and would love
you
to join us to
Impact the Future.
About the Role
The treasury Accountant shall take ownership across areas of cash management plus the payment processes, banking facilities and obligations across the business entity. The Treasury Accountant shall be heavily focused towards the management of any financing and loan documentation and/or administration points whilst also overseeing all activities linked to Trade Finance, any LC issuance, Bank Guarantees and all subsequent payment cycles. The role shall also be geared towards all liquidity management controls coupled with overseeing the foreign exchange hedging and exposures across the organization. Finally, this Accountant shall also interact to oversee, as the correspondent, to manage daily relationship with any banking and/or financing partners.
Duties/Responsibilities:
Processing of payments for the region and its subsidiaries
Processing bank reconciliation monthly and reporting as part of the standalone closing process
Updating weekly cash position report showing the existing balance for all bank accounts and presenting the expected cash inflow and outflows over a period of time
Issuing monthly cash flow report and updating the cashflow forecast
Issuing all kinds of guarantees and bonds for Egis projects, dealing directly with business development, project finance, project development, and the operations teams for any request related to guarantees
Following up on the renewal, termination, and amendments in bank guarantees
Archiving all guarantees documentation
Handling all relevant communication with banks
Preparing a monthly bank guarantees status report showing all guarantees related to Egis' projects, their values, type, purpose, term, and forecast
Handling debt facility arrangements with the group treasury team and banks
Maintaining reports for the region debt facilities
Maintaining the Working capital report, monitor the monthly DSO by country
Following the Cash pooling operations
Supporting the month-end closing process where needed
What do we need from you
Degree in Accounting/ Finance/ Economics, or alternative qualification
Minimum of 5 to 8 years of work experience
Experience in managing bank account opening process/ bank KYC requirement, dealing with banking partners
Skills in cash reports, cash flow forecasting, use of cash management tools
Experience with guarantees
* qualified Chartered Accountant (ACA, ACCA, CPA or CIMA) whom is able to demonstrate a background across areas of treasury, cash management and trade finance within either a financial or commercially-based institution..
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