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Treasury Staff

Sci Ecommerce Pte. Ltd.

Singapore

On-site

SGD 60,000 - 80,000

Full time

22 days ago

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Job summary

一家跨国电子商务公司在新加坡寻求资金管理专员,负责日常资金运营及银行账户管理。要求财务或相关专业本科及以上学历,具备2-3年资金管理经验,熟悉东南亚区域的金融监管。该角色需优秀的中英文沟通能力,具有细致的工作态度。

Qualifications

  • 至少 2-3 年在跨国公司或大型企业的资金管理经验。
  • 具备东南亚地区的资金操作经验,熟悉当地银行系统。
  • 能够处理敏感和机密信息。

Responsibilities

  • 执行新马泰区域各子公司的日常付款指令,确保及时性和准确性。
  • 监控银行账户余额,进行日常现金头寸的汇总和核对。
  • 维护良好的银企关系,负责银行KYC等事宜。
  • 协助资金经理优化和改进资金相关的流程。
  • 定期维护集团现金流量预测以及银行余额的对账工作。

Skills

资金管理
银行账户管理
跨国金融操作经验
中英文沟通能力
细节导向

Education

财务、会计、金融或相关专业本科及以上学历
Job description
1. 日常资金运营以及银行账户管理 / 1. Daily fund operation and bank account management
  • 执行新马泰区域各子公司的日常付款指令,包括供应商付款、日常营运费用付款、员工报销、税费支付等,确保及时性和准确性

    Execute daily payment instructions for each subsidiary in the Singapore-Malaysia-Thailand region, including supplier payments, daily operating expense payments, employee reimbursements, tax payments, etc., to ensure timeliness and accuracy.

  • 管理区域内公司的银行账户,包括账户开立、变更、注销等工作。以及网上银行的后台维护工作

    Manage the bank accounts of companies in the management area, including account opening, modification, cancellation, etc., as well as the back-end maintenance work of online banking

  • 确保所有资金交易符合公司的内部控制和合规政策。

    Ensure that all fund transactions comply with the company's internal control and compliance policies.

2. Cash pools and liquidity management / 2. 现金池与流动性管理
  • 监控新马泰区域各公司的银行账户余额,进行日常现金头寸的汇总和核对。

    Monitor the bank account balances of various companies in the Singapore-Malaysia-Thailand region, and summarize and verify daily cash positions.

  • 执行区域内公司间的资金调拨和付款计划,以优化整体资金使用效率。

    Implement fund transfer and payment plans between companies in the region to optimize overall fund utilization efficiency.

  • 协助总部实施现金池管理,确保资金管理的有效性。

    Assist headquarters in implementing cash pool management and ensure effective fund management.

  • 还款计划跟踪和执行

    Repayment plan tracking and execution

3. 银行关系维护 / 3. Bank relationship maintenance
  • 作为区域内主要银行对接的窗口之一,维护良好的银企关系。

    As one of the windows for major banks in the region to connect, maintain good bank-enterprise relationships.

  • 负责银行KYC等事宜

    Responsible for bank KYC and other matters

4. 流程优化及资料整理归纳 / 4. Process optimization and data organization and summary
  • 协助资金经理优化和改进资金相关的流程,提升工作效率和自动化水平。

    Assist the fund manager in optimizing and improving fund-related processes, improving work efficiency and automation level.

  • 协助资金经理进行融资相关工作的资料准备

    Assist the fund manager in preparing materials for financing related work

  • 日常整理留存资金相关文件资料

    Daily sorting and retention of funds related documents and materials

5. 报告与对账 / 5. Reporting and reconciliation
  • 定期维护集团现金流量预测,收支台账,银行余额等数据表单。

    Regularly maintain the Group Cash Flow forecast, income and expenditure ledger, bank balance and other data tables.

  • 定期完成银行账户的对账工作。

    Regularly complete the reconciliation of bank accounts.

任职要求 / Job requirements
  • 财务、会计、金融或相关专业本科及以上学历

    Bachelor's degree or above in finance, accounting, finance or a related field.

  • 至少 2-3年 在跨国公司或大型企业的资金管理、司库或相关财务岗位的工作经验。

    At least 2-3 years of experience in fund management, treasury or related financial positions in multinational companies or large enterprises.

  • 具备东南亚地区(尤其是新加坡) 的资金操作经验,熟悉当地的银行系统、支付规则和金融监管环境。

    Have experience in fund operations in South East Asia (especially Singapore), familiar with the local banking system, payment rules and financial regulatory environments.

  • 出色的中英文口头和书面沟通能力(需要与区域内不同国家的同事和银行进行有效沟通)。

    Excellent oral and written communication skills in both Chinese and English (requires effective communication with colleagues and banks in different countries in the region).

  • 注重细节,具有高度的责任感和严谨的工作态度,能够处理敏感和机密信息。

    5. Pay attention to details, have a high sense of responsibility and rigorous work attitude, and be able to handle sensitive and confidential information.

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