Cash Manager MDY
The Cash Manager oversees the organization’s daily, weekly, and monthly cash flow. They are responsible for reducing the amount of “collectible” cash while, at the same time, maximizing the amount of time between receiving goods and paying for them, all in accordance with industry and regulatory guidelines.
Verify proper signatures (endorsements) on checks.
Monitor and control the flow of cash coming into and going out of the organization, helping ensure the company’s business and investment needs are met.
Project /forecast cash flow in and out and determine if the organization will have enough cash, need a loan, or have more cash than needed (to be invested); research investment options.
Suggest opportunities to enhance the company's payment channel offerings and minimization of banking fees
Assist with internal and external audit requests related to cash activity
Suggest improvements to policies and procedures on cash activity
Involved with acquisition integration efforts involving bank account services and structure
Maintain documentation for new and existing cash process
Chargebacks processed timely and communicating with the field as to improvements to be made and monitor changes
Importing and exporting data from the POS system and operating system
Safeguard, verify, and control all cash assets.
Establish and maintain banking relationships.
Establish and maintain cash movement policies, procedures, and controls.
Prepare and deliver treasury reports (cash balances, cash projections, credit reviews, etc.)
Other duties assigned by the management.
Qualification level of a degree holder in Accounting/Finance.
Age, not more than (45)
(5) years of working experience in cash management
Proficient in MS Office Software (Word, Excel, PowerPoint, Outlook), E-mail, Internet, Myanmar, and English Typing
Accounting principles knowledge
In-depth knowledge of financial statements and financial statement analysis, including an ability to analyze cash flow and the impact on the financial statements.
Familiarity with bank cash management systems
Able to work under pressures and challenging situations
Able to work well with a wide range of people from different parts of the business
Basic understanding of information technology and business concepts
Familiarity with general business functions
business awareness and management skills;
organizational skills and the ability to understand detailed information;
interpersonal skills to form effective working relationships with people at all levels;
ability to compile and interpret statistical data and communicate it in a professional and understandable manner
Good presentation skills
Good analytical skills
Tracking Budget Expenses,
Staffing, Quality Management,
The organization, Coaching, Communication Processes,
Promoting Process Improvement,
Salary; USD (300-450) or Equivalent Kyats or DEPENDENT ON APPLICANT'S QUALIFICATIONS
Job Type: Full Time,
Contract Type: Fixed-Term Contract
Benefits: Annual Bonus, Variable Bonuses (Performance, Allowances, etc.)
Location: No-402, 81 Street, Street 30 between 31, Chanmyathazi city, Mandalay.
Working hours: 9 am to 5.30 pm, Monday to Saturday
How to Apply?
Interested persons should submit a CV with an application letter with original handwriting, passport size color (2) photo (within three months taken), copies of NRC Card, Labour registration card, Graduation certificate. Clearance certificate from respective ward & police Station, working experience and other relevant certificate together with supporting documents, expected salary, contact phone number to No.(79/81), Room #705~706 & 904, Central Tower, Corner of Anawrahta Road & 39th Street, Kyauktada Township, Yangon by personally (or) please email a copy of your detailed resume in MS Words format to email@example.com Please do specify application post (or) use apply form.