- Mange daily cash balances and Ensure proper cash management process.
 - Contribute in selection of the financing banks & structuring of facilities.
 - Make sure that the company’s policies and procedures are being properly applied in terms of cash management and structure.
 - Allocate business to different banks.
 - Negotiate bank and service fees.
 - Allocate transactions to leasing companies if necessary.
 - Assess & analyze any new finance offers .
 - Use off balance sheet financing tools to enhance cash position.
 - Forecast worldwide interest expense and income.
 - Implement new bank technologies, products and services to improve cash cycle and simplify company operations.
 - Ensure that a company’s cash flow is adequate to allow it to operate effectively.
 
Years of Experience: 5-8 
Department: Finance 
Employment Type: Full Time 
Location: Cairo