职位描述
To support our extraordinary teams who build great products and contribute to our growth, we’re looking to add a/an Treasury Support (资金会计) located in Shenzhen GBS.
Reporting to the Finance Manager, the Treasury Support (资金会计) role involves…
What a typical day looks like:
1.Responsible for the bank accounts, e-banking, e-banking users management;负责银行账户,电子银行,电子银行用户管理;
2.Responsible for daily cash management, support treasury cash investment, like deposit, hedging, option, money market fund etc;负责日常现金管理,支持国库现金投资,如存款,对冲,期权,货币市场基金等;
3.Responsible for CTR (cash transfer request) in support of financial analysts;负责支持金融分析师的CTR(现金转移请求)
4.Responsible for CDF monitoring, work with treasury to search opportunity to improve CDF utilities, do proper analyzing for the variance between ERP record vs CDF from SAFE;负责CDF监控,与财政部合作寻找机会来改善CDF实用程序,对SAFE的ERP记录与CDF之间的差异进行适当分析
5.Compliance with SAFE’s investigation; 遵守国家外汇管理局的调查
6.Additional duties by supervisor/manager.主管/经理的其他职责
The experience we’re looking to add to our team:
1.Bachelor degree or above in Accounting / Financing;本科或以上学历,会计或财务相关专业;
2.With finance working experience, MNC share service center background is preferred;有财务工作经验,制造业财务共享中心背景者优先考虑
3.Good knowledge in PRC Accounts Proficiency;了解中国账户特性;
4.Good PC skills, especially Excel, PPT;良好的MS技能,特别是Excel和PPT;
5.Good English in both writing and reading;良好的英文读写能力;
6.Strong responsibility and team work spirit, could work under high tight timeline具备责任感,抗压能力强