Finance /Treasury staff

CEBU CITY, Cebu
Posted more than 30 days ago
Company:
Pollution Abatement Systems Specialists, Inc.
Company Description:
Pollution Abatement Systems Specialists, Inc. (PASSI) is the most dynamic health care waste treatment facility in Cebu today. Our main office is located at Mezzanine Floor, A. Geson Bldg., D Jakosalem St., Cebu City. Our pioneer plant is located in White Road, Inayawan, Pardo, Cebu City. Two other plants have already commenced operations in Sta. Lourdes, Puerto Princesa City, Palawan and Calajunan, Mandurriao, Iloilo City. We conduct business not just in Cebu but throughout the central and southern Philippines. PASSI is primarily engaged in Health Care Waste Management. Founded in November 2003 by a group of Mechanical Engineers, the evolution of Pollution Abatement Systems Specialists Incorporated (PASSI), has made an inscription in the annals of the health care waste management industry, being the pioneer in using autoclave technology in Cebu and the rest of the region. PASSI has also a septage treatment facility and Waste to Energy for the Municipal Solid Wastes. In terms of service, capacity and quality, PASSI is dedicated and committed to deliver the best it could offer. The incessant growth of PASSI is a manifestation of a sound system, one that recognizes the interdependence and synergy of all the departments. Above all, the competence and acumen of its employees are considered to be one of its most valuable resources.
Contract Type:
Full Time
Experience Required:
1 year
Education Level:
Bachelor’s Degree
Gender:
Female
Number of vacancies:
1

Job Description

PRIMARY FUNCTIONS AND ESSENTIAL RESPONSIBILITIES
Manage the financial affairs of the organization
Oversee forecast cash flow positions, related borrowing needs and funds available for investment
Ensure sufficient funds are available to meet ongoing operational and capital investment requirements
Use hedging to mitigate financial risks related to the currency and interest rates on the company's cash flows and borrowings, as applicable
Advise management on the liquidity aspects of its short- and long-range planning
Maintain an efficient system of policies and procedures that impose an adequate level of control over treasury activities and provide support for regulatory reporting
Ensure the accuracy and effectiveness of the organization’s billing programs
Maintain all domestic and global banking relationships
Maintain broker database for trade clearance and counterparty risk
Maintain strong communications with banks and other financial service providers
Develop a structure to work with business partners, shared services and FP&A to optimize working capital
Develop performance monitoring of service providers including third-party managers, trustees and custodians
Collaborate with internal stakeholders to maintain subsidiaries’ capital structures consistent with business, tax and regulatory requirements
Develop strategic finance initiatives (rating agency presentations, M&A and financing requirements) in partnership with key stakeholders
Complete special projects as assigned for presentation to senior management and external boards
Develop treasury reporting dashboards appropriate for various stakeholders and track KPI
Manage excess operating cash to obtain optimum interest revenue
Oversee electronic cash receipt and cash disbursement processing and accounting
Oversee daily cash positioning activities including managing daily liquidity, cash position reconciliation and bank reporting
Enhance and manage the regional and corporate direct cash flow forecasting process
Develop appropriate reporting and modelling capabilities required to support short-term and long-term liquidity forecasting needs through indirect modelling working closely with corporate FP&A
Develop cash targets to support efficient liquidity management
Serve as the primary contact with commercial banks in cash management services, trust, custody and with business managers regarding day-to-day treasury needs
Act as authorized signatory on bank accounts and as an officer of company entities, as needed
Monitor quarterly and annual compliance with loan agreements
Oversee credit insurance program
Lead in identifying risk, developing complex mitigation strategies
Serve as the primary contact with investment advisors to ensure alignment with investment policy, recommend funding for enough cash flow, review monthly returns and assess manager performance
Oversee execution of investment transactions (redemptions and purchases) approved by the investment committee of the Board of Directors
Review and analyze banking and investment management fees to identify cost reductions
In conjunction with private equity sponsors and senior management, manage capital market efforts that allow for efficient capital structure and enable growth
Monitor debt covenant compliance and prepare related calculations and certificates, in accordance with debt agreements
Act as treasury liaison internally for leasing analysis of property, plant and equipment
Direct the FX exposure management through cash flow, balance sheet and net investment hedging programs
Manage FX and interest-rate risk
Develop and lead hedging programs to mitigate risk from currency and interest rate fluctuation
Responsible for investing funds consistent with applicable laws
Develop and enforce strong internal controls and financial management policies
Salary:
16.000,00 ₱ Monthly

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