Confidential
Manager Accounts/Treasury
Confidential
352 views
Posted date 25th July, 2025 Last date to apply 8th August, 2025
Country Pakistan Locations Islamabad
Category Finance
Experience 10 years

A leading development sector organization based in Islamabad is seeking a highly qualified and experienced Manager Accounts/Treasury to join its Finance team. This role is responsible for overseeing both accounting operations and treasury functions, ensuring compliance, efficiency, and strategic financial management.

Key Responsibilities:

Accounting & Financial Operations

  • Supervise monthly, quarterly, and annual account reconciliations.
  • Oversee accounting operations: accounts payable/receivable, general ledger, payroll, cash receipts, utilities, and capital asset reconciliations.
  • Ensure compliance with tax regulations and financial reporting standards.
  • Prepare staff payroll and finalize employee settlements.
  • Coordinate and complete internal and external audits.
  • Monitor financial data, develop reports, and lead variance analysis.

Treasury & Cash Management

  • Forecast cash flow positions and ensure sufficient liquidity.
  • Manage banking relationships and ensure alignment with investment policies.
  • Monitor daily cash positions, initiate investments, and optimize cash returns.
  • Create and maintain treasury records in SAP TRM (investments, borrowings, equity deals, bank transfers, etc.).
  • Prepare reconciliations between treasury and financial modules in SAP.
  • Advise management on liquidity, investment strategies, and financial markets including gold and stock trends.
  • Ensure compliance with tax exemption certificates and manage tax records with financial institutions.

Strategic Finance & Internal Controls

  • Develop and implement financial policies, risk mitigation strategies, and internal controls.
  • Lead treasury audits and regulatory reporting.
  • Collaborate with internal teams and external stakeholders including banks, investment firms, and regulatory authorities.
  • Contribute to strategic financial initiatives and special projects for senior management and the Board.

Required Qualifications & Experience:

  • ACCA, CA (Finalist), or equivalent from a recognized local or foreign institution.
  • Minimum of 10 years of progressive experience in finance and treasury management.
  • Strong command over financial instruments, treasury systems, and best practices.
  • Working knowledge of SAP ERP, especially the Treasury (TRM) and Finance (FICO) modules.
  • Prior experience in banking will be an added advantage.

Skills & Competencies:

  • Strong leadership, planning, and analytical skills.
  • Excellent interpersonal, communication, and negotiation abilities.
  • Proven problem-solving skills with a strategic mindset.
  • Ability to manage multiple priorities and work under pressure.

Female candidates are strongly encouraged to apply.


 

Requirements


  1. Requires you to upload profile photo.
  2. Requires you to add current salary information.
  3. Requires you to add cover letter.
  4. Requires a minimum of 10 years of experience
  5. Resume attachment is required.
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