Treasury Consolidated Analysis Reporting Manager

4 weeks ago


Cairo, Egypt Giza Arabia Systems Cairo, Egypt Full time
  • Overseeing day-to-day financial activities.
  • Documenting transactions and updating ledgers and the financials database.
  • Analyzing and interpreting financial data.
  • Preparing financial forecasts such as revenue, expenses, and loan estimations.
  • Developing cash management, investment, and risk mitigation strategies.
  • Providing financial advice on investments, loans, and liabilities.
  • Preparing and presenting regular treasury reports, budgets, financial documents, and strategies to management.
  • Implementing financial policies and procedures.
  • Maintaining financial management systems.


  • Cairo, Cairo, Egypt Giza Systems Egypt Full time

    The Treasury Consolidated Analysis & Reporting Manager is responsible for consolidating the Group Company's Treasury Reports, managing cash flow and funding requirements, and overseeing intercompany balances and settlements.This role involves close coordination with subsidiaries, monitoring cash flow forecasts, and ensuring timely reporting to the Group...


  • Cairo, Egypt Giza Systems Egypt Full time

    The Treasury Consolidated Analysis & Reporting Manager is responsible for consolidating the Group Company’s Treasury Reports, managing cash flow and funding requirements, and overseeing intercompany balances and settlements.This role involves close coordination with subsidiaries, monitoring cash flow forecasts, and ensuring timely reporting to the...


  • Cairo, Cairo, Egypt Giza Arabia Systems Cairo, Egypt Full time

    Overseeing day-to-day financial activities.Documenting transactions and updating ledgers and the financials database.Analyzing and interpreting financial data.Preparing financial forecasts such as revenue, expenses, and loan estimations.Developing cash management, investment, and risk mitigation strategies.Providing financial advice on investments, loans,...

  • Treasury Manager

    2 weeks ago


    Cairo, Egypt Arpu Telecommunication Services Full time

    Manage the organization's cash flow to ensure liquidity for daily operations. - Develop and implement risk management strategies. - Build and maintain relationships with banks and financial institutions. - Manage investments and debt portfolios. - Oversee day-to-day treasury operations. - Provide accurate financial reporting. **Requirements**: - Bachelor's...

  • Treasury Manager

    2 weeks ago


    Cairo, Cairo, Egypt Arpu Telecommunication Services Full time

    Manage the organization's cash flow to ensure liquidity for daily operations. Develop and implement risk management strategies. Build and maintain relationships with banks and financial institutions. Manage investments and debt portfolios. Oversee daytoday treasury operations. Provide accurate financial reporting.Requirements: Bachelor's degree in Finance,...


  • Cairo, Egypt Xervon Egypt Full time

    A Senior Treasury Accountant will play a critical role in managing the company's cash flow, ensuring accurate financial records, and optimizing liquidity.This position is an exciting opportunity for a professional with a strong background in financial analysis, cash management, and compliance to contribute to the financial stability and success of our...

  • Treasury manager

    4 weeks ago


    Cairo, Egypt Arpu Telecommunication Services Egypt Full time

    Manage the organization's cash flow to ensure liquidity for daily operations.Develop and implement risk management strategies.Build and maintain relationships with banks and financial institutions.Manage investments and debt portfolios.Oversee day-to-day treasury operations.Provide accurate financial reporting.


  • Cairo, Cairo, Egypt Xervon Egypt Full time

    A Senior Treasury Accountant will play a critical role in managing the company's cash flow, ensuring accurate financial records, and optimizing liquidity.This position is an exciting opportunity for a professional with a strong background in financial analysis, cash management, and compliance to contribute to the financial stability and success of our...


  • Cairo, Egypt nacita egypt Full time

    Responsibilty:Assisting your supervisor with the company's treasury activities.Preparing and communicating daily banking activity reports.Assisting with the physical counting of cash.Investigating and resolving discrepancies with cash transactions.Documenting all cash transactions for each day.Reconciling bank deposits and payments.Responding to customer...

  • Financial Analyst

    2 weeks ago


    Cairo, Cairo, Egypt NowPay Egypt Full time

    Work directly with CFO and Treasury Director on various planning exercises, such as forecasting, budgets, profitability analysis, and reportingAssist in the monthly close process by analyzing trends and variancesDevelop forecast models based on comparative performance metrics and operational improvements as the business growsUphold standards through...

  • Financial Analyst

    3 months ago


    Cairo, Egypt NowPay Egypt Full time

    Work directly with CFO and Treasury Director on various planning exercises, such as forecasting, budgets, profitability analysis, and reportingAssist in the monthly close process by analyzing trends and variancesDevelop forecast models based on comparative performance metrics and operational improvements as the business growsUphold standards through...

  • Treasury Accountant

    2 weeks ago


    Cairo, Cairo, Egypt Union Group Cairo, Egypt Full time

    Responsibilities:Managing the receipt, banking, and protection of company funds.Advising senior managers on risk assessments including company loans, investments, and liquidity.Anticipating the company's borrowing needs.Maintaining the financial systems and policies controlling the company's treasury activities.Maintaining third-party financial...

  • Treasury Accountant

    3 months ago


    Cairo, Egypt Union Group Cairo, Egypt Full time

    Responsibilities:Managing the receipt, banking, and protection of company funds.Advising senior managers on risk assessments including company loans, investments, and liquidity.Anticipating the company’s borrowing needs.Maintaining the financial systems and policies controlling the company’s treasury activities.Maintaining third-party financial...


  • Cairo, Cairo, Egypt ICARDA Full time

    Treasury Management:Assist the Director of Finance with the monitoring of appropriate treasury management policies and guidelines and ensure that these are implemented and followed in all ICARDA locations.Cash management and liquidity:Managing the day-to-day liquidity of the Center and ensuring that appropriate levels of cash, including foreign currencies,...


  • Cairo, Egypt ICARDA Full time

    Treasury Management:Assist the Director of Finance with the monitoring of appropriate treasury management policies and guidelines and ensure that these are implemented and followed in all ICARDA locations.Cash management and liquidity:Managing the day-to-day liquidity of the Center and ensuring that appropriate levels of cash, including foreign currencies,...

  • Treasury Manager

    2 weeks ago


    Cairo, Cairo, Egypt ELSEWEDY ELECTRIC Full time

    • Manage and control company cash and investment strategies in light of company objectives and market changes• Plan and monitor cash to cash cycle; identify gaps and advise business units for improvement• Identify/ forecast daily cash requirements for business and manage necessary actions to fulfill cash needs• Manage relationships with financial...


  • Cairo, Cairo, Egypt Xervon Egypt Full time

    "Monitor and manage the company's cash position to meet operational needs.Prepare and execute cash forecasting and liquidity analysis to ensure adequate funds are available.Prepare and maintain financial records and reports.Ensure compliance with accounting standards and financial regulations.Identify and assess financial risks and implement risk mitigation...

  • Treasury Manager

    3 months ago


    Cairo, Egypt ELSEWEDY ELECTRIC Full time

    • Manage and control company cash and investment strategies in light of company objectives and market changes• Plan and monitor cash to cash cycle; identify gaps and advise business units for improvement• Identify/ forecast daily cash requirements for business and manage necessary actions to fulfill cash needs• Manage relationships with...

  • Treasury Accountant

    4 weeks ago


    Cairo, Egypt Sprint egypt Full time

    Responsible for the day-to-day operational aspects of the Treasurer's duties.Ensuring proper cash management process.Preparing cash reconciliations.Preparing periodic cash reports.Managing the company safes.Handling day-to-day cash and treasury activities in line with the Authority Matrix.

  • Treasury Analyst

    4 weeks ago


    Cairo, Egypt TAQA Group Full time

    - Cash Management.2- Tracking bank transactions.3- File all the documents properly.4- Update cash out and Cash IN.5- Send Various Reports.6- perform monthly and annual bank reconciliation.7- Managing Treasury Bills process.8- Maintain and manage all financial records, logs, spreadsheets, and registers.9- Preparing Banking Journal Entries10- Responsible for...