Position Overview
About the Company A fast-growing global consumer internet platform, scaling regional finance operations with strong cross-border complexity.
Job Responsibilities - Responsible for daily cash management, making necessary payments to our customers and suppliers in a timely manner, including via international wire transfers
- Manage monthly, quarterly and annual reporting close
- Manage banking administration/relationships including providing support to the Treasurer in establishing new bank accounts or investing in new products
- Assist in the implementation of best practices/controls across all treasury functions
- Cash planning and management
Qualifications and Experience Preferred - Bachelor's degree or above in finance, accounting or related majors
- 5-8 years working experience in financial industry or corporate treasury management
- Strong Microsoft Office skills, particularly...