Treasury Consolidated Analysis Reporting Manager

4 weeks ago


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 Treasury Director.
  • Additionally, the Manager will lead process improvement initiatives and provide supervision to the treasury team.
  • Key KPIs include:
  • Accuracy and timeliness of consolidated cash flow projections
  • Adherence to intercompany balance management and settlement plans
  • Monitor, justify, and then reduce the cash flow variances between actual and budgeted amounts.
  • Efficiency in the consolidation and submission of Group Treasury reports
  • Compliance with treasury policies and procedures
  • Key Accountabilities:
  • Act as the primary liaison, in coordination with the Group Treasury Director, with Subsidiaries to communicate and agree on forecasted Cash Flow.
  • Manage the rolling cash forecasting process in collaboration with local finance/accounting teams.
  • Consolidate the Group's cash flow projections on a monthly and quarterly basis, submitting them to the Group Treasury Director.
  • Follow up with subsidiaries regarding Cash Flow Variances (Actual/Budget).
  • Prepare a monthly summary of the Group's free cash flow.
  • Monitor and control all intercompany balances, reporting variances and proposing necessary action plans.
  • Manage the submission of weekly/monthly Consolidated Group Treasury reports to headquarters.
  • Review and consolidate monthly Group Treasury reporting packages from subsidiaries.
  • Responsible for reconciliation and timely reporting of the Group’s Financial Results, including any covenant breaches.
  • Assist in preparing for any Group Treasury presentations to the Board
  • Support the Group Treasury Director in structuring all the Group treasury reports and intercompany balances / settlements.
  • Develop and improve the Group Cash Flow reports.
  • Supervise the performance of the team and ensures efficient and smooth operations of the treasury activities.
  • Evaluate the performance of his/her direct subordinates and submit them on the performance appraisal system


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