Job Description
About the Team
The mission of Finance Shared Service Center (FSSC) is to manage all incoming and outgoing cash transactions in a timely, accurate, efficient and controlled manner. The FSSC team consists of corporate financial services such as accounts payable, travel and expense, and cash management. We are currently looking for a driven and meticulous Cash Management Specialist to join our team in Los Angeles.
Responsibilities
1. To ensure accurate and timely cash management activities, including daily treasury payments, bank guarantee insurance, funding arrangement, regulatory reporting, account reconciliation, monthly closing, etc.
2. To provide support for internal treasury-related inquiries daily.
3. To provide support for internal and external audit requests.
4. To assist in optimizing Standard Operation Procedures (SOPs) and the treasury management system.
5. To assist in industry/regional research, project research, and provide timely and effective responses to the China HQ team.
6. To assist in treasury management activities analysis and ensure accurate output to the China HQ team.