Objectives:
This position is responsible for applying principles of treasury management to ensure the financial information with accuracy, well-managed cash flow and etc.
Job responsibilities:
· Timely prepare the bank/cash transactions and enter into financial system. Reconcile the pending or unidentified items, ensure the daily bank account balance is aligned with SAP bank account leger.
· Day-to-day operation for treasury management, including e-banking payment, bank account maintenance, daily cash flow report, and interest rates monitoring.
· Safekeeping Financial Special Seals, License or any other important stuff. Assist for the management of treasury files, timely filing, sorting, and set up files, perform borrow, return procedures.
· Other ad-hoc duties as assigned.
Job requirements:
· Bachelor's degree or above in Finance and Accounting or a related discipline.
· Familiar with SAP system and high level MS skill.
· 2 years plus of experience in accounting, excellent fresh graduate is also considered.
· Ability to take challenges.
· Knowledge or experience of Automotive Finance, Financing and Leasing is preferred.
· Good in written and oral English.
Competencies:
· Flexible, able and willing to take on different responsibilities.
· Able to work under big pressure with independence, meet tight deadline.
· Ability to build productive relationships quickly.
· Strong communications skills.
· Accurate, proactive, detail-minded and well organized.
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