We are a global leader in secure and sustainable technology lifecycle management services.
Job Responsibilities
To perform a broad range of treasury functions which includes cash management, bank loan management, bank relationship & compliance and bank covenants.
To manage intercompany loans.
To maintain & update all relevant banking records which include maintaining bank account Master Database, updating of consolidated report of banking facilities / charges and utilization.
In charge of opening and maintenance of bank accounts, internet banking (Online Banking Platforms: Set up new users, manage access rights, and ensure system security) and application of bank facilities.
To prepare actual and forecasted weekly cash flow consolidation.
To execute spot rates forex contracts for operation finance.
To assist in developing treasury policies and procedures.
To improve the cash flow forecasting process.
Ad-hoc duties as assigned.
Job Requirements
Bachelor's degree in Finance, Accounting, Economics, or a related field.
Good knowledge and understanding about cash management, finance, and accounting.
Excellent skills in MS applications.
5 years of relevant experience in cash control/management, and banking partnership management in a multinational corporate environment.
Attention to detail with excellent analytical, problem-solving, and decision-making skills.
Self-motivated with excellent interpersonal and communication skills to work in a diversified environment.
We regret to inform you that due to the high volume of applications received, only candidates who are shortlisted for the next stage of the selection process will be contacted. We appreciate your understanding and thank you for your interest in this opportunity.
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