Tuesday, December 5, 2017

Treasurer and budget controller

Ensuring the effective management of cash flows. Managing banks relationships and Handling the daily bank operations. Controlling cash disbursements and monitoring cash collection. Preparing/Developing treasury reports Dealing with the banks to obtain any required facilities Managing the existing facilities Preparing Cash Flows forecast Handling the budget template preparation Handling the budget controls Continuous Budget variance analysis

from Wuzzuf All Jobs http://bit.ly/2jRy8On

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