Job Weighting% - Main Responsibilities
50% - Monitor cash and FX position to ensure both liquidity and profitability
-monthly cash forecast, quarterly LBE and annual plan
-intercompany transactions settlements via Netting system
-Hedge programme plan, execution and reporting
-manage the relationship with bank
35% - Monitor Treasury Compliance
-LOI/approval matrix for payments, loans, other cash transactions
-respond to audit queries
-annual regulatory report
15% - Other Treasury related Matters:
-ESPP
-pension fund etc.
-annual insurance programm
Major Responsibilities/Activities:
REQUIREMENTS:
Position experiences:
Language Skills:
Computer Skills:
Other Special requirement:
The base pay for this position is
N/A
In specific locations, the pay range may vary from the range posted.
Treasury
IFO International Finance
China > Shanghai : 388 W. Nanjing Road, Ciros Plaza
Standard
Not specified
Not Applicable
Not Applicable

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