Accounts Executive

Abans Finance PLC

Colombo Full Time Posted 6 days ago
LocationColombo
Job TypeFull Time
SalaryNegotiable
Closing Date25 Jun 2026

Accounts Executive – Abans Finance PLC

Job Overview

Abans Finance PLC is seeking a motivated and detail-oriented professional for the position of Accounts Executive – Treasury. This role offers an excellent opportunity for accounting and finance professionals to contribute to treasury operations, cash flow management, financial reporting, reconciliations, and treasury-related accounting functions within one of Sri Lanka’s leading finance companies.

Position Details

Job Title: Accounts Executive – Treasury
Company: Abans Finance PLC
Job Category: Accounting & Finance
Job Type: Full-Time
Location: Colombo District, Sri Lanka
Industry: Finance & Financial Services

Company Overview

Abans Finance PLC is a member of the prestigious Abans Group, one of Sri Lanka’s most recognized and diversified business conglomerates. With assets exceeding Rs. 20 billion, the company provides a broad range of financial solutions including leasing, vehicle loans, mortgage loans, gold loans, and savings and deposit products. Supported by an extensive island-wide network, Abans Finance PLC continues to deliver innovative financial services while maintaining strong financial stability and customer trust.

Qualifications & Experience

  • Following or pursuing a professional qualification such as CA, CIMA, ACCA, AAT, or an equivalent qualification.
  • Minimum 2 years of work experience in a similar accounting or treasury-related role.
  • Previous experience within a finance company or financial institution will be preferred.
  • Fair knowledge of Accounting and Finance principles, including SLFRS and LKAS standards.
  • Good communication skills in both English and Sinhala.
  • Proficiency in Microsoft Office applications, especially Microsoft Excel.
  • Exposure to accounting software will be an added advantage.
  • Strong interpersonal and organizational skills.

Key Responsibilities

  • Assist with treasury operations to support efficient cash flow and liquidity management.
  • Handle general and supplier payments accurately and on time.
  • Ensure the accuracy, completeness, and timeliness of financial transactions.
  • Maintain and prepare periodic transaction and treasury reports.
  • Communicate with internal and external stakeholders regarding operational matters.
  • Manage cashier functions and petty cash transactions accurately.
  • Maintain allocated floats and perform daily reconciliations.
  • Ensure proper balancing and banking of daily cash collections.
  • Provide excellent customer service while handling financial transactions.
  • Assist in preparing financial statements and journal entries.
  • Support impairment provision calculations for the loan portfolio in accordance with IFRS requirements.
  • Perform CBSL reporting and related regulatory reporting functions.

Required Skills

  • Strong accounting and treasury management knowledge.
  • Cash flow and liquidity management skills.
  • Financial reporting and reconciliation expertise.
  • Proficiency in Microsoft Excel and other Office applications.
  • Knowledge of SLFRS, LKAS, and IFRS standards.
  • Strong numerical and analytical skills.
  • Attention to detail and accuracy.
  • Effective communication and interpersonal abilities.
  • Time management and organizational skills.
  • Ability to work independently and meet deadlines.

Salary & Benefits

  • Attractive and negotiable remuneration package based on qualifications and experience.
  • Excellent opportunities for career growth and advancement.
  • Internal and external training and professional development opportunities.
  • Exposure to treasury operations within a leading finance company.
  • Professional and supportive working environment.
  • Opportunity to build a long-term career in the financial services industry.

How to Apply

Interested candidates should forward their updated resume, including contact details of two non-related referees, to:

Email: careers@abansfinance.lk

Subject Line: Accounts Executive – Treasury

Applications should be submitted within 14 days of the advertisement date.

Important Notes

  • Only shortlisted candidates will be contacted.
  • Candidates with experience in treasury operations, accounting, or financial reporting will have an added advantage.
  • Knowledge of accounting software and financial reporting standards is desirable.
  • Professional accounting qualifications in progress will be highly regarded.
  • The position is based in Colombo District, Sri Lanka.