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Treasury & Cash Reconciliation Senior Analyst

  • Perform daily reconciliations of all cash revenue streams, ensuring completeness and accuracy.

  • Monitor daily banking transactions, identify discrepancies, and ensure corrective actions. Analyze the reasons for discrepancies and initial cross functional project to improve first-match ratio and related processes.

  • Investigate differences between system records, bank statements, and revenue reports, and propose solutions. Drive the actions to minimize the differences.

  • Identify opportunities to automate reconciliation processes, reducing manual effort and improving timeliness. Support the transition to digital tools and platforms for reconciliation, reporting, and documentation.

  • Understanding of cash collections modes in Telecom environment against various products and services.

  • Prepare and post daily, weekly, and monthly revenue-related journals.

  • Coordinate with internal teams and external banking partners to resolve differences.

  • Maintain strong reconciliation controls and provide documentation for audit requirements..

  • Ensure proper documentation and archiving of reconciliation files, records and audit evidences.

  • Participate in projects to enhance first-match ratios, streamline workflows, and strengthen reconciliation efficiency.

  • Perform any tasks assigned by the Line Manager.


  • Qualified Accountant with 8+ years of relevant experience in cash reconciliations, controls and financial accounting.

  • Understanding of financial controls, accounting principles, and journal posting.

  • Experience working with banks, payment gateways, or high-volume transaction environments.

  • Well versed with data analysis techniques to interpret financial data and identify trends.

  • Familiarity with automation technologies (e.g., RPA, reconciliation software) and digital transformation initiatives.

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