Treasury Manager
盖璞(上海)商业有限公司(Gap China)
- 公司规模:500-1000人
- 公司性质:外资(欧美)
- 公司行业:服装/纺织/皮革
职位信息
- 发布日期:2016-10-27
- 工作地点:上海
- 招聘人数:1人
- 工作经验:8-9年经验
- 学历要求:本科
- 语言要求:英语 熟练
- 职位类别:资金经理/主管
职位描述
职位描述:
TITLE: Manager, Treasury
DEPARTMENT: Finance
REPORTING TO: Director, Treasury/Tax/Capital Investments
LOCATION: Shanghai. Local hire.
GENERAL SUMMARY:
Work out the strategy of China treasury function for long term and short term to support the company growth. In charge of liaise with various banks for the facility establishment, drawdown, account structures and E-banking management. Support CFO/Sr. Finance Director/Corporate Treasurer to establish & maintain a strategic and healthy relationship with key banks.
ESSENTIAL DUTIES & RESPONSIBILITIES:
1. Cash and account management
? Manage the funding related monthly/yearly budget/forecasts/LRP and coordinate with other depts. to get the key parameters input.
? Manage the funding (working capital / loan / credit facility / shareholder loan / equity injection) to insure liquidity of the Company, to ensure the efficient utilization & safety of funds.
? Manager banking and account arrangement, enhance the account structure to better support the Treasury work
? Following up on FX exchange/hedging
? Support on set up of cash pooling structure
? Manage E-banking access is appropriate set up to ensure controls in place
2. Shareholder loan maintenance
? Take care of shareholder loan registration, drawdown registration
? Shareholder loan account opening, back-up
? Monitoring the shareholder loan balance and the usage of the fund
? Shareholder loan interest accrual & payment
3. Banking facility management
? Support on review of the facility letter
? Process the loan drawn down, rollover, repayment based on cash positions
? Cooperate with Real Estate team, legal and corporate treasury to issue cash deposit or bank guarantee for all projects. Provide corporate treasury analysis on the cash deposit or bank guarantee structures.
4. Responsible for store opening bank related business and supports on store daily operations
? Work closely with the banks and store operational teams to help the stores get all services (cash pick up, credit card terminal service, etc)
? Streamline the process between the stores and the banks, via Pan-China cooperation
? Supervise cash pick up agreement and process negotiation
? Store CUP machine installation for credit card
? Streamline/enhance the process between the store, the banks, CUP
? Daily coordination between the store and the banks/CUP
5. Establish and maintain treasury transaction process. Ensure the strict execution of control procedure. Conduct periodical review upon internal control process and propose changes to reflect the latest regulatory and compliance requirements.
6. Others
? Supports on other projects, annual FX audit, Gift Card project, Real Estate and Capital analysis (ad hoc if necessary), etc.
? Supervise RSU(Stock option)
? Treasury documents filing
ORGANIZATION RELATIONSHIPS:
In country Finance Controlling, FP&A, Corporate Treasury, CSSC, Store ops team
REQUIRED QUALIFICATIONS:
1)Knowledge, skills & abilities:
? Major in Economics or Finance
? Effective communication skills
? Good command on English
? Good command on Excel
? Work independent and work hard
2) Minimum educational level:
? College
3) Minimum experience:
? 6 year(s) in Finance with at least 3 years in treasury
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TITLE: Manager, Treasury
DEPARTMENT: Finance
REPORTING TO: Director, Treasury/Tax/Capital Investments
LOCATION: Shanghai. Local hire.
GENERAL SUMMARY:
Work out the strategy of China treasury function for long term and short term to support the company growth. In charge of liaise with various banks for the facility establishment, drawdown, account structures and E-banking management. Support CFO/Sr. Finance Director/Corporate Treasurer to establish & maintain a strategic and healthy relationship with key banks.
ESSENTIAL DUTIES & RESPONSIBILITIES:
1. Cash and account management
? Manage the funding related monthly/yearly budget/forecasts/LRP and coordinate with other depts. to get the key parameters input.
? Manage the funding (working capital / loan / credit facility / shareholder loan / equity injection) to insure liquidity of the Company, to ensure the efficient utilization & safety of funds.
? Manager banking and account arrangement, enhance the account structure to better support the Treasury work
? Following up on FX exchange/hedging
? Support on set up of cash pooling structure
? Manage E-banking access is appropriate set up to ensure controls in place
2. Shareholder loan maintenance
? Take care of shareholder loan registration, drawdown registration
? Shareholder loan account opening, back-up
? Monitoring the shareholder loan balance and the usage of the fund
? Shareholder loan interest accrual & payment
3. Banking facility management
? Support on review of the facility letter
? Process the loan drawn down, rollover, repayment based on cash positions
? Cooperate with Real Estate team, legal and corporate treasury to issue cash deposit or bank guarantee for all projects. Provide corporate treasury analysis on the cash deposit or bank guarantee structures.
4. Responsible for store opening bank related business and supports on store daily operations
? Work closely with the banks and store operational teams to help the stores get all services (cash pick up, credit card terminal service, etc)
? Streamline the process between the stores and the banks, via Pan-China cooperation
? Supervise cash pick up agreement and process negotiation
? Store CUP machine installation for credit card
? Streamline/enhance the process between the store, the banks, CUP
? Daily coordination between the store and the banks/CUP
5. Establish and maintain treasury transaction process. Ensure the strict execution of control procedure. Conduct periodical review upon internal control process and propose changes to reflect the latest regulatory and compliance requirements.
6. Others
? Supports on other projects, annual FX audit, Gift Card project, Real Estate and Capital analysis (ad hoc if necessary), etc.
? Supervise RSU(Stock option)
? Treasury documents filing
ORGANIZATION RELATIONSHIPS:
In country Finance Controlling, FP&A, Corporate Treasury, CSSC, Store ops team
REQUIRED QUALIFICATIONS:
1)Knowledge, skills & abilities:
? Major in Economics or Finance
? Effective communication skills
? Good command on English
? Good command on Excel
? Work independent and work hard
2) Minimum educational level:
? College
3) Minimum experience:
? 6 year(s) in Finance with at least 3 years in treasury
职能类别: 资金经理/主管
公司介绍
GAP为各年龄层消费者带来经典的美国风尚。
从1969年创立以来,GAP一直广受时尚消费者青睐,人们喜欢用GAP时髦又休闲的服饰轻松搭配,穿出自己的时尚风格。今天,GAP依然是人们选购T恤、帽衫、贴身裤装和牛仔等衣橱必备的首选品牌。
从最初的Gap发展到现在包括GapKids, babyGap, GapMaternity和gapbody的全系列产品,GAP能满足各年龄层消费者的时尚需求。
发展至今,GAP已成为以“酷、自信、休闲”风格的服饰演绎生活方式的文化标志。
从1969年创立以来,GAP一直广受时尚消费者青睐,人们喜欢用GAP时髦又休闲的服饰轻松搭配,穿出自己的时尚风格。今天,GAP依然是人们选购T恤、帽衫、贴身裤装和牛仔等衣橱必备的首选品牌。
从最初的Gap发展到现在包括GapKids, babyGap, GapMaternity和gapbody的全系列产品,GAP能满足各年龄层消费者的时尚需求。
发展至今,GAP已成为以“酷、自信、休闲”风格的服饰演绎生活方式的文化标志。
联系方式
- 公司地址:上城区延安路278号
- 电话:13621652304