maintaining lockbox activity and records. Conduct wire transfers of funds from escrow account to resellers and to Arrow as required.
Execute cash and s / t investments analysis, create daily analysis of global cash and current s / t investments. Submit updates to Treasurer, Assistant Treasurer, CFO and CEO.
Through analysis of receipts and disbursements of cash, execute investment or redemption funds from money market funds as needed.
Calculate accrued interest income to provide to Accounting. Track all cash activity in concentration bank, and provide details to Corporate Accounting.
Provide assistance to Accounting relative to questions with reconciliations. Handle bank service issues and prepare and maintain documentation for bank accounts and signatories.
Maintain banking relationships, analyze bank fees, recommend cost savings, maintain bank accounts, liaison between bank and management.
or 3 years and an advanced degree; or equivalent work experience. *Location : * AR-Buenos Aires, Argentina *Time Type : * Full time *Job Category : * Accounting / Finance