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Job Description & How to Apply Below
In this full-time management role, you will collaborate with a specialized Treasury team to handle various functions, from daily cash operations to comprehensive audit trails. Your strong organizational abilities will be essential in preparing reports and reconciling accounts while ensuring accuracy in all documentation.
Key Responsibilities:
• Prepare and validate daily cash movement entries
• Support payment preparation via banking platforms
• Monitor bank account balances for discrepancies
• Assist in short-term cash forecasting and reporting
• Maintain accurate treasury documentation for audits
Requirements:
• Bachelor's degree in Finance, Accounting, or related field
• 1–3 years of finance or treasury experience
• Basic understanding of accounting principles
• Strong communication and teamwork skills
• Attention to detail and organizational skills
Leverage your financial expertise to enhance Bell’s Treasury department’s operational efficiency.
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