Orange Cameroon is looking for Manager Treasurer
Missions & Main
Activities Ensure the optimization of cash flow management
- Develop annual, multi-year and monthly cash flow and cash flow forecasts
- Manage immediate, short- and medium-term liquidity
- Contribute to the negotiation of bank conditions
- Contribute to the negotiation of short-term financing
- Carry out financial optimizations (cash investments, cost of financing)
- Ensure payments in the best conditions of cost, time and security
- Ensure permanent monitoring and studies on means of payment (receipts and disbursements)
Manage cash flow / UV management
- Perform reporting and analysis of results
- Alert operational and management to the discrepancies observed in the orientations chosen and objectives defined
- Guarantee repayment to trading partners
Manage the management of working capital requirements
- Analyze and track customer outstanding
- Analyze and monitor inventory trends
- Analyze and monitor partner and supplier assets
- Synthesize the valuation in need of working capital
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Track day-to-day banking
- Control and validate payments
- Track receipts
- Control banking operations (bank reconciliations, complaints and reminders from banks)
- Control interest scales,
- Control transfer conditions
- Track customer arrears
Participate in the company’s financing project and ensure the resulting relationships with banks
- Assess the financial position of the company
- Simulate loans (draws, repayments)
- Simulate dividend payments
- Assess long-term financing needs
- Control the application of financial agreements by the company and financial partners
- Anticipate, propose short-, medium- or long-term business financing solutions
Ensure internal and Group reporting
- Analyze and establish monthly cash flow and cash flow reporting
- Analyze and report monthly on the financial dashboard
- Prepare the monthly activity report of the Treasury
- Ensure the timely effectiveness of all reports with a particular focus on regulatory reporting.
Qualifications
- Education: BAC + 4/5 in Accounting and Finance
- Experience: 4 years in a position of responsibility in Financial and Treasury Management or in control of financial and treasury operations
Main location: CM-Littoral
Contract: CDI
Type of contract: Framework
HOW TO APPLY?
Click here to apply online
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