Depositing cheques in the banks
Collect bank statements prepare bank reconciliation statement
Issue receipts for the cheques received
Transfer funds to head office on behalf of payments
Interact with Bank for clarification, LC, Fund status
Issue opening Letter of Credit/bank guarantees, allocates funds for LC & BG
Monitor records of Fixed Assets, CAPEX Management activities such as alloting CAPEX number and Work in Progress
Perform Hospital Information System to SAP reconciliation regarding Treasury
Arrange and file all the documents related to treasury
Monitor project expenditures
Keyskills: Cash Reconciliation Bank reconciliation Treasury Management