Opportunity Description
Description
- Assist in managing the company’s cash flow and liquidity.
- Support the treasury team in financial analysis and reporting.
- Coordinate and prepare cash forecasts and budgets.
- Maintain accurate financial records related to treasury activities.
- Collaborate with internal departments for financial transactions and compliance.
Requirements
- Educational Qualifications: Bachelor’s degree in Finance, Accounting, or a related field.
- Experience Level: 0–2 years.
- Skills and Competencies: Strong communication and interpersonal skills.
- Skills and Competencies: Proficiency in financial literacy and analysis.
- Qualities and Traits: Detail-oriented with strong analytical abilities.
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