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PetroChina International (Singapore) is seeking a Treasurer/Accounts professional to manage daily cash flow and banking activities, ensuring funds are allocated correctly and timely. You will prepare bank instructions and coordinate with banks to process payments for subsidiaries.
The role requires strong organization, attention to detail, and comfort with financial data. Proficiency in Chinese is essential for daily liaison with Beijing HQ and handling Chinese documents.
This role is responsible to manage the company’s daily cash flow and banking activities, ensuring ensure funds are in the right place at the right time, prepare bank instructions, handle payments for subsidiaries, and work closely with banks to solve issues and answer inquiries.
This role is perfect for someone organized, detail-oriented, and ready to dive into financial data to help keep operations running smoothly.
We regret to inform that only shortlisted candidates will be notified.
In submitting your personal data and/or resume, you shall be deemed to consent to us collecting, using and disclosing your personal data for the purpose of assessing your job application. Information collected may also be disclosed to the PetroChina Group of Companies (which includes PetroChina International (Singapore) Pte. Ltd., Singapore Petroleum Company Limited) for this purpose.