Job Responsibility/岗位职责:
1. Daily cash collection and payment;
日常银行现金收付款;
2. Handle trade & non-trade payments to HQ and oversea suppliers;
对总部以及海外供应商的贸易与非贸易付汇;
3. Handling of bank acceptance received from customers;
银行承兑汇票的签收托收等;
4. Prepare monthly & weekly cash flow and assist supervisor with fund arrangement, such as bank loan & shareholder loan etc;
准备现金流周报月报,协助领导进行资金管理,例如银行贷款等;
5. Manage bank accounts, periodically review status of all the accounts and update the related information in time;
定期管理跟踪各银行账户状态,保证信息及时更新;
6. Maintain good relationship with the bank and SAFE;
维护与银行外管局的良好关系;
Requirements/任职资格:
1. Bachelor degree in Finance or Accounting;
统招本科以上学历,财务或会计相关专业;
2. 1 year related experience or above;
1年以上相关工作经验;
3. Good communication skill and time management skill;
良好的沟通能力与时间管理能力;
4. Good English skill (CET 4 above);
良好的英语能力,4级以上;
5. Patient and hard working,Can work under great pressure
有耐心,进取心,能够在一定压力下工作。