主要职责KEY RESPONSIBILITIES:
1. 银行账户/银行承兑汇票/支票管理 Bank/BAD/Check Management:
2. 及时准确地向管理层提交每日现金状况报告/每周债务总结报告/每月净现金报告。
Timely & accurately deliver daily cash status reports/weekly debt summary report/monthly net cash report to management group;
3. 现金流(包括现金和银行现金)的100%准确性,BAD /支票计数与银行对账的零差异。
100% accuracy of cash movements (including cash on hand & cash in bank), zero discrepancy of BAD/Check count & bank reconciliation;
4. 及时准确地收到现金支票或其他现金等价物。
Timely & accurately bank in cash upon received check or other cash equivalents.
5. 现金流管理。Cash Flow Management
6. 及时准确的更新最新现金流报告。Timely & accurately update actual cash flow report
7. 与内部部门协调,收集现金流预测信息,及时准确交付周期现金流预测报告。
Coordinate with internal departments, collect cash flow forecast information, timely and accurately deliver by-weekly cash flow forecast report.
8. 根据支付计划准备现金/金融工具(例如BAD / LC /银行贷款/现金池转移等),以尽量减少资本成本,但满足日常运营要求。
Prepare the cash/financial instruments (e.g. BAD/LC/bank loan/cash pooling transfer etc.) according to the payment plan to minimize the capital cost but meet the daily operation requirement.
9. 付款核对与准备。Payment Check and Arrangement:
10. 检查付款申请,确保支持文件100%符合公司政策,国家外汇管理局,法律和中国会计准则。
Check payment application, and make sure supporting documents 100% complying with company policy, SAFE, legal and China GAAP.
11. 根据付款条件/付款日期及时准确地付款。
Timely & accurately release payments according to payment terms/regular payment dates.
12. 及时准确地报告和清算外汇和存档相关文件。
Timely & accurately declare and settle foreign exchange and filing related documents properly.
13. 及时准确地更新月度外汇报告,并给出差异行动计划。
Timely & accurately update monthly Foreign exchange report and give action plan for the variance.
14. 财务凭证归档。Finance documentation filing
15. 其他交付的临时性工作和项目。Other Ad hoc jobs and projects.
职位要求JOB REQUIREMENTS:
1. 本科以上财务/会计类专业毕业,熟悉中国会计准则。Bachelor’s degree in Finance & Accounting with excellent understanding of China GAAP, SAFE and Custom.
2. 3~5年同行业外资企业工作经验。3-5 years working experience in a similar role in a foreign-invested company.
3. 在AP和FOREX管理方便有良好的经验。Experience in AP and FOREX Management is a plus.
4. 有快速学习的能力,良好的逻辑,在坚持原则的情况下有良好的沟通能力。Quick learner with good logic, adhere to principles while with good communication skills;
5. 注重细节,在压力和紧迫的期限内仍能高效的完成工作。Detail oriented, and perform well under pressure and tight deadlines.
6. 能高质量的独立完成工作。Able to work independently with high quality delivery
7. 良好的Excel技能。Excellent Excel skills is a plus.
1. 银行账户/银行承兑汇票/支票管理 Bank/BAD/Check Management:
2. 及时准确地向管理层提交每日现金状况报告/每周债务总结报告/每月净现金报告。
Timely & accurately deliver daily cash status reports/weekly debt summary report/monthly net cash report to management group;
3. 现金流(包括现金和银行现金)的100%准确性,BAD /支票计数与银行对账的零差异。
100% accuracy of cash movements (including cash on hand & cash in bank), zero discrepancy of BAD/Check count & bank reconciliation;
4. 及时准确地收到现金支票或其他现金等价物。
Timely & accurately bank in cash upon received check or other cash equivalents.
5. 现金流管理。Cash Flow Management
6. 及时准确的更新最新现金流报告。Timely & accurately update actual cash flow report
7. 与内部部门协调,收集现金流预测信息,及时准确交付周期现金流预测报告。
Coordinate with internal departments, collect cash flow forecast information, timely and accurately deliver by-weekly cash flow forecast report.
8. 根据支付计划准备现金/金融工具(例如BAD / LC /银行贷款/现金池转移等),以尽量减少资本成本,但满足日常运营要求。
Prepare the cash/financial instruments (e.g. BAD/LC/bank loan/cash pooling transfer etc.) according to the payment plan to minimize the capital cost but meet the daily operation requirement.
9. 付款核对与准备。Payment Check and Arrangement:
10. 检查付款申请,确保支持文件100%符合公司政策,国家外汇管理局,法律和中国会计准则。
Check payment application, and make sure supporting documents 100% complying with company policy, SAFE, legal and China GAAP.
11. 根据付款条件/付款日期及时准确地付款。
Timely & accurately release payments according to payment terms/regular payment dates.
12. 及时准确地报告和清算外汇和存档相关文件。
Timely & accurately declare and settle foreign exchange and filing related documents properly.
13. 及时准确地更新月度外汇报告,并给出差异行动计划。
Timely & accurately update monthly Foreign exchange report and give action plan for the variance.
14. 财务凭证归档。Finance documentation filing
15. 其他交付的临时性工作和项目。Other Ad hoc jobs and projects.
职位要求JOB REQUIREMENTS:
1. 本科以上财务/会计类专业毕业,熟悉中国会计准则。Bachelor’s degree in Finance & Accounting with excellent understanding of China GAAP, SAFE and Custom.
2. 3~5年同行业外资企业工作经验。3-5 years working experience in a similar role in a foreign-invested company.
3. 在AP和FOREX管理方便有良好的经验。Experience in AP and FOREX Management is a plus.
4. 有快速学习的能力,良好的逻辑,在坚持原则的情况下有良好的沟通能力。Quick learner with good logic, adhere to principles while with good communication skills;
5. 注重细节,在压力和紧迫的期限内仍能高效的完成工作。Detail oriented, and perform well under pressure and tight deadlines.
6. 能高质量的独立完成工作。Able to work independently with high quality delivery
7. 良好的Excel技能。Excellent Excel skills is a plus.
职位类别: 资金专员
举报
- 公司性质:外商独资
- 所属行业:五金矿产
- 所在地区:上海-静安区
- 联系人:赵小姐
- 手机:会员登录后才可查看
- 邮箱:会员登录后才可查看
- 邮政编码:
工作地址
- 地址:上海市静安区安远路555号阳静安门9楼