Treasury Accountant
DigiOutsource · Le Cap
Job description
About the role
The Treasury Accountant will manage and monitor cash flow, liquidity, and financial risk for a leading digital gaming company. This position ensures optimal use of funds, oversees banking relationships, and supports strategic decision‑making across finance and accounting teams.
Key responsibilities
- Upload daily bank statements and post them into the ERP system.
- Process bank receipts, allocate them to vendor accounts and cash‑flow codes.
- Post and match payment processor vendor settlements accurately.
- Monitor and initiate withdrawals, funding for online wallet accounts, and manage negative balances.
- Handle foreign‑exchange trades to maintain sufficient currency balances for supplier payments.
- Prepare weekly and monthly cash‑flow reports.
- Reconcile control accounts, including cash in transit, processor settlements, wallet withdrawals, and suspense accounts.
- Perform monthly bank account reconciliations and ensure accurate intercompany postings.
- Review vendor open items, escalate discrepancies, and provide feedback to the team lead.
Required profile
Required skills
- Experience with ERP systems
- Familiarity with TM1 and Fintech platforms
- Bank statement processing and reconciliation
- Cash‑flow reporting
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Published 1 hour ago
Expires 1 month from now
1 views · 0 applications
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DigiOutsource
Le Cap