A Fantastic Opportunity for ...
- Manage daily cash inflows/outflows, bank fund transfers, and internal fund allocations.
- Prepare daily/weekly/monthly cash position reports and perform liquidity analysis,
- Execute foreign currency purchase/sale (USD, CNY, THB) Transactions with authorized banks and maintain accurate FX records.
- Monitor and update internal exchange rates, coordinating with management on FX exposure.
- Prepare and reconcile banking transactions in a timely manner.
- Maintain compliance with banking regulations, company treasury policies and internal audit requirements.
- Support Financial closing activities by coordinating with accounting tams to wnsure accurate treasury-related entries in accounting systems.
- Provide treasury data for budgeting, forecasting, and working capitak management.
- Coordinate with banks, auditors, and external stakeholders to maintain compliance and accuracy in treasury and cash management.