Administrative Treasury Assistant
About this role
Job Summary
To prepare all Treasury/Investments correspondence for the Group.
Primary Responsibilities:
- Daily / Weekly preparation of Bank Transfers, Interco balances, reinsurance payments and any other payments along with the corresponding journal for each debit transaction and accounting for MLCL Bank transactions
- Daily CMS Reporting, Assist in pulling bank statements and excel extracts, set up online transactions for Group Treasury and Investments.
- Preparation of letters for:
- Purchase/Sale of investments - Fixed Deposits, Bonds, Equities etc.
- Requesting & following up on allocation of Foreign Exchange currency from financial institutions as required
4. Year End Audit:
- Follow up with Banks and Institutions to ensure timely receipt of confirmations
- Facilitate external auditors with requests for investments files and correspondence
5. Filing of all the unit’s correspondence
Secondary Responsibilities:
- Stop Payments – Preparation of stop payment orders as requested
- Return Items – Log and prepare memos for distribution to respective units
- Stationery Requisition for Unit
- Update various logs (Foreign Exchange, Wire Transfers and Cancelled cheques)
- Other administrative functions as assigned.
Qualifications
Education
Minimum 5 CSEC passes inclusive of Grade 1 or 2 in Mathematics and English A and
8 CAPE passes (full certificate) or an equivalent diploma or professional certificate
Experience
Minimum two (2) years experience in similar/related role
Please note that our recruitment and selection policy requires you to present a police certificate of character no older than 6 months from the date of stamp.
We thank you for your application. However, only if you have been short-listed, you will be contacted
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