Accountant- Cash Operation财务现金运营(职位编号:2144188)
GE全球运营
- 公司规模:500-1000人
- 公司行业:多元化业务集团公司
职位信息
- 发布日期:2015-07-02
- 工作地点:上海
- 招聘人数:1
- 工作经验:1年
- 学历要求:本科
- 语言要求:英语熟练
普通话熟练 - 职位月薪:面议
- 职位类别:会计 资金专员
职位描述
Business Segment
Global Ops-Asia
Essential Responsibilities
• Complete the new process transition and migration independently; document the operation procedures in standard format
• E-banking payment processing
• Bank accounts management, maintain and update signature cards and bank specimen
• Safeguarding important company certificates
• Prepare payment list and upload to e-Banking; ensure pay on time
• Provide required documents to bank for manual payments/receipts including checks, bank drafts and FX payments; maintain and update payment/collection trackers for both RMB and Foreign Currency
• Prepare required document to bank to issue guarantee bond/performance bond;
• Related bookkeeping , prepare manual journal entry;
• Work closely with AP, AR, DT, DF for FX/RMB payment and forecasting; propose actions for FX conversion according to company policy; ensure timely delivery of hedge contracts
• Cash Pool management for transfers, daily cash pool balance recon
• Customer/Vendor query follow-up
• Document filing
• Participation of projects on accounting system/process improvement and simplification
• Ad hoc tasks assigned by direct manager
Qualifications/Requirements
• Bachelor’s degree in Accounting or Finance
• Responsible, prudent, hardworking and can pay attention to details
• Good command of English and fluent in Mandarin
• Proficiency with MS Office suite, including Excel & PowerPoint
• Strong interpersonal & communication skills
• 1-3 years experiences in cashier position
• Knowledge in Import/export processes & SAFE regulations
• Knowledge in Oracle/SAP is a plus
• Good organizational and prioritization skills
• The ability to work independently with minimum supervision, a self-starter
• Good team player with a positive outlook, can work under pressure
公司介绍
联系方式
- 公司地址:地址:span华佗路1号