Treasury Accountant

Mazzika GroupDokki, Gizawuzzufنُشرت في 26‏/07‏/2026
إلزامي:FinTech

Ability to deal with all Treasury & Cash Accounting activities, which include: Manage daily cash and bank transactions, including receipts, disbursements, deposits, and checks, ensuring accurate recording in the accounting system (manual/computerized).

Handle petty cash custody, disbursement, and monthly settlement, along with all cash-related daily routines.

Issue customer invoices, follow up on collections, and manage payables/receivables to ensure timely settlement of balances.

Reconcile bank statements with company records regularly and resolve any discrepancies.

Prepare daily cash position reports and assist in monthly/quarterly closing related to treasury accounts.

Maintain accurate customer/vendor account files and ensure compliance with internal controls for cash handling.

Requirements: B.Sc . or higher degree in accounting from an accredited university or institute.

At least 2–3 years of experience in Treasury/Cash Accounting or a similar role.

Very good computer skills, MS Office package (especially Excel).

Attention to detail and deadline-oriented.

Very good command of English.

Very good communication skills.

Good experience in commercial/banking activities.