Accountant (Treasury)
职位亮点
职位描述
Job Duties
- Carry out daily treasury operations including handling payment processing, deposit placement, cash pooling and foreign exchange
- Prepare regular treasury and financial reports for management's discussion and decision making
- Prepare monthly and annual budget as well as cash flow forecast
- Monitor the daily fund balance, arrange fund transfer and maintain bank book and transaction record
- Liaise with banks effectively to ensure smooth banking operation
- Manage bank account opening, closing and KYC review issues including preparing the related banking documentation
- Perform ad hoc assignments
Job Requirement
- - Degree in Finance, Accounting, or related discipline.
- Minimum 3 years of relevant work experience in treasury work
- Mature, self-motivated and independent
- Good analytical and problem solving skills
- Good command of both written and spoken English and Chinese including Mandarin
- Proficient in MS Office applications
- Knowledge in Chinese word processing
- Knowledge in Chinese report writing style is highly appreciated
| 工作种类 | |
| 工作地区 | 尖沙咀 |