Officer, Treasury

បង្កើត:ធ្នូ 4, 2024

ឈប់ទទួលពាក្យ: មករា 31, 2025

JOB OVERVIEW

Main responsibilities for currency exchange, placement, bank account management, and maintaining relationships with other banks.

JOB DUTIES & RESPONSIBILITIES

  • Input the daily foreign exchange rate into the system properly and on time;
  • Record related transactions into the system properly and on time;
  • Do money exchange in a profitable manner or the minimum loss once the need for any currency;
  • Do placement with other banks at the highest interest rate once the fund remains idle;
  • Pay lenders correctly and on time;
  • Transfer funds to the branch office in line with the request to support the operation on time;
  • Open bank account to be effectively managed and support banking operations;
  • Prepare cash and bank reconciliation to confirm the accuracy of its balance;
  • Maintain relationships with other banks to diversify funding sources and maximize profitability;
  • Collaborate with the external and internal auditor on inquiry information about relevant tasks and responding appropriately in case of audit findings;
  • File related documents orderly and safely for audit purposes and
  • Do other tasks as assigned by the line manager.

How to Apply

Interested candidates can submit their cover letter and resume to the email: recruitment@smebankcambodia.com.kh or contact us directly at: 070 240 678 / 069 456 232.