Be part of the corporate treasury team, and do tasks such as:
Perform banks receipts and payment allocations
Review bank documents
Consolidate global cash flow data
Work with the auditors
Other tasks that support the Corporate Treasury department, such as: insurance, securities (such as bank guaranties, letters of credit) and other treasury related tasks.
Graduate in Economy/Accounting
Up to 3 years of relevant professional experience
Proven ability of working meticulously and accurately with routine processes.
Good verbal and writing in English