1.負(fù)責(zé)日常資金支付、關(guān)聯(lián)公司間資金調(diào)撥、銀行賬戶開立等工作;
Handle daily treasury activities including globalpayment,inter-company transfers, and bankaccount opening.
2.負(fù)責(zé)公司日?,F(xiàn)金管理,登記日記賬,每月編制
銀行余額調(diào)節(jié)表。
Responsible for cash management, monitoring daily cash-flow, preparing accounting entriesand pank accountreconcilation.
3.每周/月現(xiàn)金流及資金收付預(yù)測(cè)。
Prepare weekly/monthly cash-flow and liquidity forecasts.
4.配合內(nèi)外部相關(guān)方處理資金問題。
Liaise with internal stakeholders and external parties to resolve issues related to treasury and cash management
5.負(fù)責(zé)銀行賬戶管理、年審以及處理相關(guān)文件,Responsible for bank accounts maintenance
6.配合內(nèi)外部審計(jì)工作。
Cooperate with internal and external audits.
7.領(lǐng)導(dǎo)交辦的其他工作。
Other tasks assigned by the supervisor.
任職要求:
1.熟悉本地財(cái)務(wù)法規(guī)相關(guān)政策,具有出色的財(cái)務(wù)數(shù)據(jù)分析能力。
Familiar with financial regulations andpolicies, with stronganalytical skills in financial data modeling.
2.具有較強(qiáng)的責(zé)任心、團(tuán)隊(duì)合作及自我調(diào)解能力,能夠承受較大工作壓力。Strong sense ofresponsibility,teamworkskills, self-mediationability and pressure resiience.
3.熟練使用各種辦公軟件 英語聽說讀寫流利。
Profdent in office software(e.g., Excel), fluent in English listening.speaking, reading andwriting.