核心岗位职责
- 负责公司日常付款、银行划转操作,确保每笔资金支付准确合规,保障资金流转高效安全。
- 主导日常境内收付与跨境收付处理,对接相关机构完成账户开立、结算操作,及时响应并解决跨境支付过程中的各类实操问题,配合财务完成账务核对与处理。
- 负责银行等金融机构的关系维护,对接日常业务需求,顺畅推进各类资金相关业务落地。
- 承担公司POS机的维护与管理,保障终端设备稳定运行,配合完成相关交易数据核对。
- 统筹公司各类营业证照的日常管理、信息更新与年审工作,确保证照状态合规有效,支撑业务正常开展。
- 参与公司现金流管理与滚动预测工作,整理分析资金相关数据,协助编制资金类报表,为资金调度与运营决策提供准确的信息支撑。
- 配合完成内外部审计相关的资金资料提供工作,协同部门推进资金管理制度的落地与优化,完成上级交办的其他资金相关日常工作。
任职资格要求
- 财务、会计、金融等相关专业统招本科及以上学历,持有相关会计职称证书者优先考虑。
- 6年以上企业资金管理或财务核算相关工作经验,有跨境支付实操经验、银行对接经验。
- 熟悉国家财税、资金管理相关法规政策,熟练操作主流财务软件,能熟练运用Excel,Word,PowerPoint等工具。
- 具备扎实的资金收付实操能力,对跨境支付的业务流程有清晰认知,了解相关合规要求。
- 工作作风严谨细致,责任心强,具备良好的沟通协调能力与团队协作意识,能承受岗位对应的工作压力。
- 具备流利的英语口语及书面表达能力。
Core Job Responsibilities
- Responsible for the company's daily payment and bank transfer operations, ensuring that each payment is accurate and compliant, and guaranteeing efficient and safe cash flow.
- Lead and liaise with relevant institutions/banks to handle daily domestic and cross-border receipts and payments. Cooperate with finance team to complete account reconciliation and processing.
- Responsible for maintaining relationships with banks and other financial institutions, liaising on daily business needs, and smoothly promoting the implementation of various treasury-related businesses.
- Undertake the maintenance and management of the store's POS machines to ensure the stable operation of terminal equipment, and cooperate in completing the reconciliation of relevant transaction data.
- Coordinate the daily management, information update and annual inspection of various business licenses of the company, to ensure that the licenses are in a compliant and valid status to support business needs.
- Participate in the company's cash flow management and rolling forecast, organize and analyze treasury-related data, assist in the preparation of cash position statements, and provide accurate information support for capital scheduling and operation decision-making.
- Cooperate in providing treasury-related materials for internal and external audits, collaborate with the department to promote the implementation and optimization of treasury management systems, and complete other daily treasury-related tasks assigned by the supervisor.
Job Qualifications
- Full-time bachelor's degree or above in finance, accounting and other related majors; candidates with relevant accounting professional titles are preferred.
- More than 6 years of working experience in corporate treasury management or financial accounting, with practical experience in cross-border payment and bank liaison.
- Familiar with national fiscal, taxation and treasury management laws, regulations and policies, proficient in mainstream financial software and skilled in Microsoft Excel, Word, PowerPoint etc..
- Have solid practical capabilities in fund receipt and payment, a clear understanding of the business process of cross-border payment, and knowledge of relevant compliance requirements.
- Meticulous and rigorous work style, strong sense of responsibility, good communication and coordination skills and team cooperation awareness, able to withstand the corresponding work pressure of the position.
- Fluent in both spoken and written English.