1.1 SUMMARY OF THE POSITION
Support operations/controls and daily routines of Finance/Treasury/Credit Department/Teams in Asia
1.2 MAIN RESPONSIBILITIES
Support the cash management, liquidity management of Asian/Global entities by preparing, analyzing files to banks or other stakeholders for funding purposes
Support Trade Finance activities by processing LC and factoring related data and making the bridge between banks and Customer Service.
Support Credit activities by analyzing financial statements and credit portfolio, and optimizing the working process
Support Controllership activities for governance of Asian entities, registration, filings, bank account opening, etc.
Prepare presentations to deliver messages to stakeholders, investors to support decision making and project management.
Other ad-hoc duties as assigned, such as English translation.
EDUCATIONAL TRAINING AND EXPERIENCES
Graduation in Accounting, Administration, Economics, Finance or Engineering;
Interest in Financial Market, Corporate Finance and/or Economics;
Keen to learn deep in financing, accounting related knowledge;
Detail oriented and proactive
其他要求:
一周不少于4天出勤,不少于6个月。
上下班时间9:00-18:00,不接受远程实习。
工作地点:上海市静安区南京西路1468号中欣大厦