Aga Khan University Hospital company logo

Associate - Treasury at Aga Khan University Hospital

Aga Khan University HospitalVerified

Job Details

Status
Active
Posted
Jun 4, 2026
Expires
Sep 2, 2026
Work style
On-site

Share with someone qualified

About the Role

Associate - Treasury

Entity: Aga Khan University

Location: Karachi

Introduction to the Aga Khan University:

Chartered in 1983, it is a private, autonomous and self-governing international university with 13 teaching sites in 6 countries distributed across three continents. As an integral part of the Aga Khan Development Network, AKU provides higher education in several disciplines, carries out research pertinent to the countries in which it exists and has campuses, programmes and/or teaching hospitals in Afghanistan, Kenya, Pakistan, Tanzania, Uganda and the UK. As an international institution, AKU operates on the core principles of quality, relevance, impact and access; and AKU is a model of academic excellence and an agent of social change.

As an equal opportunity employer, AKU believes in promoting a diverse and inclusive culture and is committed to adopt appropriate standards for safeguarding and promoting a respectful relationship with and between diverse workforce of its faculty, staff, trainees, volunteers, beneficiaries, wider communities, and other stakeholders with whom it works, including children and vulnerable adults and expects all employees/trainees and partners to share this commitment.

Responsibilities:

Reporting to Assistant Manager, Treasury you will be responsible for the preparation of monthly schedules, Bank reconciliation statements, Credit card reconciliation and monthly closing activities.

Key Responsibilities:

  • Preparation of Bank Reconciliations and follow-up with users for resolution of outstanding items
  • Monthly closing activities including recording of interest income, bank charges, investment income
  • Review of Petty Cash forms and coordination with users for establishment, amendment and closure of petty cash funds including monitoring of petty cash limits
  • Preparation of Monthly Schedules
  • Managing Credit card transaction including reconciliation of daily transactions
  • Perform Cash Counts
  • Perform any other tasks as assigned by the supervisor.

Requirements:

You should have:

  • a Bachelors (16 years of education)/ Masters in progress. Master would be preferred
  • a minimum one year experience in Finance activities
  • proficiency in MS Office with advanced skills in Microsoft Excel
  • proficiency in use of computer packages specially MS Office
  • the ability to work under pressure and meet deadlines.

Comprehensive employment reference checks will be conducted.

CV Match Tool

Check if your CV matches this job before applying

This job accepts direct applications - no recruiter in between. Posted 1d ago.

Apply on Company Site

Related Jobs

Similar openings in this category that are worth reviewing next.