Vị trí công việc này hiện tại đã hết hạn nộp hồ sơ, bạn có thể tham khảo thêm một số công việc tương tự tại đây:
Mô tả công việc
I. Job Summary:
Actively manage and handle the treasury daily operations, including but not limited to fund
transfer, cash flow management, optimizing capital structure, financing transactions,
communicate & maintain strong relationships with investors/banks.
II. Key Roles & Responsibilities
1. Performance Management (55%):
• Manages treasury and funding activities including meeting short and long-term funding
needs, ensure sufficient capital for business activities.
• Manages cash flow, fund transfer activities to ensure enough liquidity for daily operations.
• Build and maintain positive relationship with investors and banks.
• Manage processes of corporate bonds and CDs issuance in addition to borrowings from
banks.
2. Reporting/Portfolio Analysis (40%):
• Coordinate with Financial Planning & Analysis team to analyze the current and future
funding requirements to support business growth.
• Coordinate with Accounting team to maintain regulatory compliance related to prudential
ratios and safety limits for credit institutions.
• Prepare all reports and documents in relation to treasury activities.
3. Other functions (5%):
• Other ad-hoc tasks assigned from time to time.
Yêu cầu
1. Qualification
• Bachelor degree with major in accounting/finance/banking/economics
• Hold relevant certifications, e.g. CFA, CPA, ACCA or MBA is an advantage.
2. Work Experience
• Experience in investment banking, corporate banking, banks' treasury (money market exposure), asset and liabilities management, treasury in consumer finance companies is an advantage.
• Practical experience in a business-driven culture and customer service-oriented atmosphere and multi-national corporations.
• Experience in managing group/regional reporting and approval processes.
3. Knowledge
• Good knowledge in funding mobilization process and documentation.
• Banking industry regulatory requirements, including but not limit to prudential ratios and safety limits for credit institutions.
• Understanding on compliance related matters: conflict of interest, anti-bribery & corruption, anti-money laundering & countering terrorism financing, anti-fraud.
4. Skills
• Good financial and business acumen.
• Strong interpersonal and communication skills.
• Advanced English and Vietnamese languages.
• An effective team player.
Quyền lợi
Thưởng
Lương Tháng 13, Thưởng năm
Chăm sóc sức khoẻ
Bảo hiểm sức khỏe, Bảo hiểm xã hội
Nghỉ phép có lương
14-20 ngày nghỉ phép
Xem thêm
Thông tin khác
NGÀY ĐĂNG
[protected info]
CẤP BẬC
Nhân viên
NGÀNH NGHỀ
Ngân Hàng & Dịch Vụ Tài Chính > Đầu Tư Tài Chính
KỸ NĂNG
Communication Skills, English Speaking, Financial Literacy, Interpersonal Skills, Team Work
LĨNH VỰC
Tài Chính
NGÔN NGỮ TRÌNH BÀY HỒ SƠ
Bất kỳ
SỐ NĂM KINH NGHIỆM TỐI THIỂU
2
QUỐC TỊCH
Không giới hạn
Xem thêm
Thông tin chung
- Ngày hết hạn: 31/10/2025
- Thu nhập: Thương lượng
Nơi làm việc
- Lầu 19, tòa nhà The Mett, số 15 Trần Bạch Đằng, phường Thủ Thiêm, Thành phố Thủ Đức