Your Responsibility
1.Assist team members on maintenance of overseas banking openings/closing/change of authorized signer.
2.Assist team members on the remittance initiation, approval or authorization.
3.Assist team members on the cash-related management reports like payment plan and cash forecast report.
4.Assist team members on liaise with banks and group treasury team
5.Assist team members on month end closing works like updating bank statements
6.Other tasks required by the finance team.
Our Requirements
1.Bachelor degree in accounting, finance or business or certificate is preferred
2.Skilled use of office software and equipment
3.Experience as offshore treasury staff is preferred.
Experience of dealing with international banking affairs is preferred.
4.Familiarity of SAP system is preferred.
5.Full of responsibility, implementation skills, initiative
6.At least 3 days/week.
Language Requirement(外語要求)
1.Fluent in Chinese & English, CET 6 / IELTS / TOFEL/ is preferred
What you can get
1.Convenient transportation and food
2.Good team atmosphere and excellent teaching