职位描述
工作职责:
61 Manage bank account accurately and keep liaison with banks to follow up the latest regulations;
正确管理银行账户,并与银行保持联系跟进最新法律法规;
61 Process e-bank and manual payment transactions;
处理电子银行和手工付款业务;
61 Perform payments clearing in accordance with payment term and SSC procedure;
根据付款条件和财务共享中心操作流程清帐;
61 Properly process foreign currency transaction including hedging settlement, in accordance with local SAFE regulations;
根据当地外汇管理政策,正确处理外币结算业务如远期结算;
61 Cooperate with other functions to provide sufficient bank documents including bank statements, payment receipt and advice, etc.
配合其他部门提供银行文件如银行对账单、收付款银行凭证等;
61 Make fund plan including idle cash and bank draft management;
制定资金计划包括闲置资金和汇票管理业务;
61 Properly archive bank notes in safe place;
正确保管银行票据,确保其安全;
61 Be responsible for required treasury reports:
提供资金业务报告:
Work with GL team to respect monthly closing deadline;
与总账团队合作在规定时间内完成月度结账;
Declare monthly group treasury reports;
申报月度集团资金业务报告;
Provide ad-hoc analysis and reports per requirements.
根据要求提供各类分析和报表。
61 Actively participate in internal and external audits to provide required information timely and accurately;
积极参与内部及外部审计,及时准确地提供所需信息;
61 Support other team members from the SSC on achieving team and individual goals, ensuring that high level of customer service is maintained;
为达成团队和个人的目标,向其他团队成员提供支持,以保证高质量的客户服务;
61 Perform other tasks and projects as assigned.
完成分配的其他任务或项目。