Duties and Responsibilities:
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In charge of receiving, banking, and safeguarding corporate funds.
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Responsible of the cashflow & stock management, included short term and long term cashflow forecast, budgets and monitor expenditures
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Support daily treasury operations and assist in the development of financing strategies
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Prepare and review reports. Provide in-depth analysis and statistics on currencies
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Collaborate in dealt sales activities in order to achieve company sales and profit target
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Maintaining the financial systems and regulations that govern the treasury activities of the organization.
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Assume responsibility for cash management procedures
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Ensuring all counters are within their stock limits
Required qualifications:
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Higher Diploma holder in business management or related discipline is preferred
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Strong analytical & multitasking skills
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Proactive and able to work independently
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Good PC skills especially in MS excel.
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Good time management skills
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Ability to work under pressure
What you can get from us:
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On-the-job training, learning and development provided
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Attractive basic salary with performance bonus
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13th Month Pay
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14 days annual leaves
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Group Medical Insurance
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Good career growth