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WALL STREET ENGLISH
Group Treasury Lead - Hết hạn
WALL STREET ENGLISH
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Thông tin cơ bản
Mức lương: Thỏa thuận
Chức vụ: Nhân Viên/Chuyên Viên
Ngày đăng tuyển: 10/04/2024
Hạn nộp hồ sơ: 12/05/2024
Hình thức: Full-time
Kinh nghiệm: Không yêu cầu
Số lượng: 1
Giới tính: Không yêu cầu
Nghề nghiệp
Ngành
Địa điểm làm việc
- 21 Lê Quý Đôn, phường 6, quận 3, TPHCM

Mô tả công việc

Mô tả Công việc
Role Description
The Group Treasurer manages cash and financial risks by ensuring ample liquidity is available to meet the day-to-day business obligations of the portfolio businesses as well as the Group. This role shapes the Group's long-term financial strategy and policies.
Duties and Responsibilities
- Manage and oversee accounting functions related to Treasury across the Group
1. Cash Management
- Oversee collections from sales and accounts receivable, ensuring the latter are collected on time throughout the Group
- Develop and implement processes for handling delinquent collections and writing off uncollected amounts
- Oversee processing of payroll, reimbursements and all other expenses in a timely manner throughout the Group. This includes the preparation, delivery and recording of cash or checks as well as the initiation of electronic payments
- Manage bank accounts as needed in order to deliver a seamless treasury service
- Work with vendors to extend payables when necessary. Manage these relationships professionally and delicately to ensure a high level of continued service
- Produce emergency cash and payments for unexpected and/or unbudgeted amounts
2. Liquidity Planning
- Understand the cash flow cycle of portfolio businesses and the Group in detail. This entails a thorough understanding of the timing of cash inflows and outflows
- Forecast weekly and monthly cash flows to optimize cash buffers and provide an early warning sign for potential cash shortfalls
- Ensure sufficient funds are available to cover all expenditures across the Group
- Review cash flow forecasting variances regularly and investigate discrepancies in order to improve the quality of the forecasts
- Design and implement policies and procedures to improve the visibility of cash outflows. This includes policies for purchase orders, expense reimbursement, payroll processing, cash advances project financing and other related categories
- Optimize and manage the working capital cycle to reduce the cash demands of operations and the investment needed to fund these accounts
3. Risk Management
- Design, implement and monitor appropriate controls to minimize risk and protect Group assets
- Manage currency exposure. Ensure sufficient capital in the needed currency is available when required. Limit unnecessary exposure to swings in currency rates
- Establish policies and procedures across the Group to match revenues with expenses and minimize currency risk
- Manage interest rate risk by monitoring the market and adjusting as needed to limit the negative impact of interest rate moves
- Manage cash across the Group to minimize risk, provide sustainability and maximize returns
- Keep up-to-date with financial and legal regulations that may affect company decisions or policies
4. Funding and Capital Markets
- Negotiate contract and loan terms with lenders and other financial institutions
- Develop and maintain strong relationships with bankers and lenders
- Manage cash-like instruments to ensure liquidity and increase the yield of these assets
- Work with management to optimize the capital structure. Stagger debt maturities and work to lower the cost of funds
- Arrange liquidity for strategic events such as a merger, acquisition, establishment of a fund or a divestiture

Yêu cầu công việc

Yêu Cầu Công Việc
· Bachelor's degree in accounting or finance
· Accounting certifications (CPA, ACCA or CIMA) preferred
· 7+ years of progressive accounting experience with a portion of it in a supervisory role
· Fluent in English
· Experience in Financial Planning Analyst and project management preferred
· Good knowledge in financial instruments and banking regulations
· Experience in sourcing and managing credit facilities.
· Experience in leading a team locally and regionally
· Extremely organized and attentive to detail
· Strong with numbers
· Thorough understanding of accounting and financial reporting principles and practices
· Excellent verbal and written skills
· Strong leadership skills with a dedication to driving and achieving results
· Advanced skills in Microsoft Excel and Word
· Familiarity with Enterprise Resource Planning ("ERP") software systems

Quyền lợi được hưởng

Laptop
Chế độ bảo hiểm
Phụ cấp
Chế độ thưởng
Chăm sóc sức khỏe
Đào tạo
Tăng lương
Nghỉ phép năm
CLB thể thao
Khu vực
Báo cáo

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