Overview

Key Responsibilities

  • Monitor and manage daily cash flow to ensure liquidity for operational needs
  • Oversee and process cash receipts and disbursements, ensuring accuracy and compliance with company policies
  • Perform monthly bank reconciliations to ensure that cash balances are accurate and discrepancies are addressed
  • Prepare and present cash flow forecasts and reports to senior management for strategic decision-making
  • Ensure compliance with financial regulations and internal controls regarding cash handling and reporting
  • Identify potential cash management risks and develop strategies to mitigate them
  • Liaise with banks, vendors and internal teams to coordinate cash transactions and resolve any issues