Submitting more applications increases your chances of landing a job.

Here’s how busy the average job seeker was last month:

Opportunities viewed

Applications submitted

Keep exploring and applying to maximize your chances!

Looking for employers with a proven track record of hiring women?

Click here to explore opportunities now!
We Value Your Feedback

You are invited to participate in a survey designed to help researchers understand how best to match workers to the types of jobs they are searching for

Would You Be Likely to Participate?

If selected, we will contact you via email with further instructions and details about your participation.

You will receive a $7 payout for answering the survey.


User unblocked successfully
Michael Pintado, TREASURY SUPERVISOR

Michael Pintado

TREASURY SUPERVISOR·DIGITAL & ELECTRONICS SOLUTIONS CO. Ltd. (DESD) - ZONIK, Subsidiary of Al Fozan Group

Saudi Arabia

Bachelor's degree, Accountancy

Work experience

Total years of experience: 29 years, 3 months

TREASURY SUPERVISOR

September 2008 - Present

DIGITAL & ELECTRONICS SOLUTIONS CO. Ltd. (DESD) - ZONIK, Subsidiary of Al Fozan Group

Khobar, Saudi Arabia

September 2008 - Present

Treasury Trade and Loans
Preparation of Import and Export Letter of Credit, (Regular and StandBy) and Import/Export Letter of Guarantees or Bank Guarantee.
Issuance of amendment for all LCs, SBLCs and LGs.
Ensure proper allocation of Loans for Trade Financing Facilities on 2 major Banks. (Saudi British Bank and Banque Saudi Fransi).
Managed the Loan maturities and ensure that all Loan settlement will be paid on time.
Ensure allocation of Insurance for all shipments, preparation for Insurance Claim for damage, lost and theft of goods.
Preparation of Costing for all Landed Cost on all goods delivered by the Supplier.
Incharge with the preparation of Discrepancy Notices, related to Letter of Credit. For approval to Supply Chain and authorized by Signatories. Shipping documents will be released by the bank once acceptance on Discrepancy Notices was provided to them.
II - Treasury-Cash Management
a) Bank Account Management
In charge with preparation and supervision of Bank Account openings, update of signatories for both DESD and IDS(Track Telecom)
Daily downloading of bank statement for both DESD and IDS(Track Telecom) bank accounts.
Handles and supervise enrollment and update of online facility for both DESD and IDS
Reviews Bank Agreements, Contracts and other Bank Facilities.

b) Cash Management
Preparation of daily Cash Flow Report for DESD and IDS.
Initiate bank to bank transfer from excess bank account balances from sub accounts to the main disbursing bank. Including inter-company transfer to sister company EXTRA, IDS and other affiliate companies.
Managing availability of funds for DESD major payments to ZAIN, Microsoft(NOKIA), SAMSUNG(IDS), BeIN Sports, PHILIPS, Motorolla and other payables. And monitoring inflows from ZAIN, Microsoft(NOKIA), Samsung credit notes, Trade Financing Loans from 2 Major Banks and financing from Shareholders.
Monitoring of issued checks (Released), Available (unreleased) and items For Signature.
Preparation of consolidated Cash Flow projections and historical Cash Position for both companies(DESD and IDS).
Preparation of weekly Consolidated Cash Flow for both companies (DESD and IDS), indicating the collections of major suppliers, ZAIN. SAMSUNG, NOKIA, and CE or PHILIPS.
III - Treasury-Operations
Managing Cash pick-up services for all Depots and outlets. Resolving issues of discrepancies on deposits versus actual bank validation.
Issuance of confirmation on payments and check deposits.
In charge with requisition, inventory and checking of reconciliation of all SPAN/Credit Card Machines for all Zonik and Zain outlets.
Troubleshooting of problems and reporting to Bank of SPAN/CC Machines.
In charge on all Government payments, SADAD and other urgent online payments
Supervising Bank Reconciliation of FBO, IPS and Zonik. Resolving issues on bank deposit discrepancies and other bank problems.
Supervising Month-End closing of books on all Bank Reconciliation for both DESD and IDS Company.

Company industry:
Retail & Wholesale
Job role:
Accounting and Auditing

Over all Treasury Analyst

April 2001 - September 2008

Smart Communications Inc.

Philippines

April 2001 - September 2008

Treasury Disbursement Analyst 2007 - 2008
Checking of company payment documents for disbursement and sending payment files to bank outsourcing.
Consolidates all processors daily receive Accounts Payable Vouchers for balancing and reconciliation.
Processing of affiliate-company payments for disbursement using SAP systems, and uploading of payment files to bank systems.
Organized Company payment outsourcing to Bank’s regional offices.
Treasury Cash Management Analyst 2003 - 2007
Handled Bank Account Management, monitoring and maintaining of bank accounts, analysis of cash inflow and outflow, and maintaining cash balances on their respective ADB levels.
Managed all bank software for bank statement uploading via email, the internet, and using a dial-up access.
Analyzed Company Investments UITF and give necessary percentage of growth or decline.
Conferred with different banks on their new products and services that can be recommended and adopted by the company.
Treasury Cashiering 2001 - 2003
Handled releasing of company payments to different Suppliers, Contractors, Advertising Agencies, Service Agents and Employee related payments.
In charge with inward cashiering functions with handles receiving of company payments and receivables from employees

Company industry:
Telecommunications
Job role:
Accounting and Auditing

Bank Personnel

October 1997 - April 2001

BANK OF THE PHILIPPINE ISLANDS

Philippines

October 1997 - April 2001

2nd most largest bank in the Philippines.
Handled GL balancing and all the entries necessary for the branch operation using SYSTEMATIX systems of the bank.
Managed daily loading and balancing of the ATM machine including weekends and holidays.
 Performed tellering functions that received deposit, payments and withdrawals.
 Collecting and Reconciliation of Bank Check Deposits and sending them to Bank Clearing.

Company industry:
Banking
Job role:
Accounting and Auditing

STAFF ACCOUNTANT

March 1997 - October 1997

ALABANG COMMERCIAL CORPORATION

Philippines

March 1997 - October 1997

An affiliate of Ayala Land Incorporated, Mall management of Ayala Group

Preparation of Accounting Entries for all Receivable Collections
Preparation and Disbursement of Company Payments
Preparation of Company Ledger for all Disbursement and Receivables for the Company

Company industry:
Accounting
Job role:
Accounting and Auditing

Education

LYCEUM of the Philippines

March 1997

March 1997

Bachelor's degree, Accountancy

Philippines

GPA (percentage): 90%

GPA (percentage): 90%

A four year course of Accounting with extensive training for the Board Exam for Certification.
View attachment

University of Perpetual Help Rizal, LasPinas City

March 1992

March 1992

High school or equivalent, Secondary Education

Philippines

GPA (percentage): 88%

GPA (percentage): 88%

Skills

Bank Relations
Expert
Bank Relations
Expert
Bank Reconciliation
Expert
Bank Reconciliation
Expert
LG
Expert
LG
Expert
LC
Expert
LC
Expert
Cash Flow Management
Expert
Cash Flow Management
Expert
ACCOUNT MANAGEMENT
Expert
ACCOUNT MANAGEMENT
Expert
BANK RECONCILIATION
Expert
BANK RECONCILIATION
Expert
CASH FLOW
Expert
CASH FLOW
Expert
CASH MANAGEMENT
Expert
CASH MANAGEMENT
Expert
CLOSING
Expert
CLOSING
Expert
CONSUMER ELECTRONICS
Expert
CONSUMER ELECTRONICS
Expert
CONTRACT MANAGEMENT
Expert
CONTRACT MANAGEMENT
Expert
CREDIT
Expert
CREDIT
Expert
ELECTRONICS
Expert
ELECTRONICS
Expert
TREASURY
Expert
TREASURY
Expert
Bank Relations
Expert
Bank Relations
Expert
Bank Reconciliation
Expert
Bank Reconciliation
Expert
LG
Expert
LG
Expert
LC
Expert
LC
Expert
Cash Flow Management
Expert
Cash Flow Management
Expert

Languages

English
Native Speaker