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Handle daily cash management & forecast, risk management on currency & monetary transactions and prepare relevant reports
Follow up short term funding with banks
Work closely with management in treasury activities for the Group
Provide support for ad hoc assignments when necessary
Requirements:
Diploma or above in Accounting, Finance or related disciplines
Relevant experience in treasury & accounting operation will be an advantage
Fresh graduates will also be considered
Proficiency in MS Office
Analytical, numerate and details-oriented
Good command of spoken and written English and Mandarin
We offer 5-day week, competitive remuneration package including double pay, medical, life & personal accident insurances, education sponsorship and good career prospects to the right candidate. Interested parties please send your resume with expected salary by clicking Quick Apply.
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