Position Overview
Responsibilities
Handle foreign exchange operations, deposit placement and other loan administration Prepare daily cash flow reports, maintain bank book record and other treasury related reports on regular basis Handle daily receipts and payments through manual and electronic channels Coordinate with banks on facilities arrangement Perform routine accounting tasks including data entry and filing Responsible for checking the employee reimbursement claims and ensure compliance of company policy Perform ad hoc duties as assigned Requirements
F.5 / DSE or above Experience in HSBCnet and e-banking setup is plus Good interpersonal and communication skills and self-initiated Positive attitude with great attention to accuracy and detail...