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:: Treasury Specialist (대리급) ::
Company Introduction 해외 유명 패션 브랜드 한국 전개 기업 [외국계]
Job Description 1. Payment: payment planning, execution, follow-up of approval and documentation.
2. Daily cash balance report : Oversee daily cash positioning activities including managing daily liquidity, cash position reconciliation
3. Treasury / cash management : operates account to account transfers and recommends financial instruments (borrowing/deposit) to optimize financial result.
4. Manages currency hedging and follow-up of the FX result.
5. Forecast and analysis : collects and organizes data relevant to perform cash flow on rolling weekly basis/official (yearly cash flow) quarterly basis and working capital forecast, but also for official forecasting exercises. Explains variance against forecast or previous years on a monthly basis.
6. Bank reconciliation at financial closing (matching between actual cash transaction and system (SAP))
7. Reporting: recurring and ad-hoc reporting to internal stakeholders and to Corporate.
8. Corporate credit card management
9. Manage all domestic and global banking relationships
10. Responsible for proper archiving of documents and evidence.
Job Requirement - 4+ years of relevant experience in a Finance position (treasury experience preferred)
- Good finance / accounting / corporate banking service / tax knowledge is preferred
- Excellent in verbal and written communication in English
- Excellent with MS Office, SAP (FI) is plus
Location 서울 Degree Level 대졸이상
Career Level [대리급]
No. of Recruitment 1
Salary 업계최고대우
Required Document 국문/영문 이력서 및 자기소개서
Others - 원서 마감후 1차(서류) 합격자에 한하여 개별연락
- 해외여행에 결격 사유가 없는 자
- 이력서에 연락처, 희망연봉 게재
Contact/Inquiry 남정아 / 이사 02-6281- 5009 janam@nterway.com
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