Responsibilities
Treasury:
Manage daily cash flow, liquidity, and bank transactions
Process payments, reconcile bank accounts, and maintain records
Assist in debt management and short-term investments
Ensure compliance with treasury policies and banking regulations
Accounting:
Support daily AR and AP operations to ensure the completeness and accuracy
Handle intercompany billing and reconciliation
Assist in month-end closing with supporting schedules
Prepare bank reconciliation
Perform ad hoc projects or duties
Requirements
Degree holder with major in Accounting or Finance
3 years of solid treasury experience, with exposure in sizable company with multiple facility lines is highly preferred
Strong ability in treasury management with excellent organizational and interpersonal skills
Proactive with good leadership & problem-solving skills
Knowledge of SAP and experience in a full set of accounts is an advantage
Proficiency in MS Excel, PowerPoint and Word
Good command of both written and spoken English and Mandarin
Immediate available is highly preferred
Interested parties, please send your resume with expected salary to [email protected]. You can also click on the website www.easyjobhk.com for more details about the company