Description:
We are seeking a highly motivated and detail-oriented Treasury Analyst to join our team. The successful candidate will be responsible for monitoring cash flow in companies and controlling money transmission tools. As a Treasury Analyst, you will be responsible for managing bank accounts, maintaining financial records, performing banking operations, providing financial advice to the company, and handling the cash management system.
Responsibilities:
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Perform daily wire transfers, checks, and fund transfers.
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Maintain financing data in the ERP system: loan, deposit, intercompany loan, fund transfer, etc.
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Assist with monitoring and managing the company’s cash position and ensure that sufficient funds are available to meet daily operations
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Run daily margin call report, monitor, and maintain margin call alert activity list.
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Monitor bank accounts and manage cash balances for multiple entities across multiple banks.
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Assist and perform monthly cash budget and performance variance analysis.
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Provide monthly bank statements to the team and check and analyze bank charges to make sure that they comply with the fees agreed upon with the banks.
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Assist with the preparation of bank account documentation, including new account openings and legacy closings, and preparation of necessary KYC documents.
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Maintain and update the treasury management system and banking platforms. TMS experience is strongly preferred.
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Assist and interact with other departments within the Company for payment requests (HR, Legal, Operations, and others)
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Good communication skills, ability to interact efficiently, and maintain strong working relationships with banking partners.
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Assist with other department and accounting team-related functions, participating in special projects or compiling special reports as needed.
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Ensure compliance with internal controls, policies, and procedures.
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Overtime may be required for this position.
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Perform other related duties as assigned.
Requirements:
- Bachelor's degree in Finance, Accounting, or related field
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1-3 years of treasury accounting experience
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Thorough understanding of bank account management, banking services, and international funds flow
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Bilingual in Mandarin and English, specifically the ability to read and write
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Experience working for an oil trading company is strongly preferred
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Strong verbal & written communication and presentation skills
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Strong attention to detail with the ability to thoroughly analyze data and work independently
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Strong systems skills are a plus, ERP, e-banking platforms (Citi Direct), and Treasury Management Systems
Please note we will not sponsor, obtain, and/or petition for temporary visa status (for example, E, F-1, H-1, H-2, L, B, J, or TN) for candidates for this position and/or personnel hired for this position.
We are not accepting unsolicited resumes from third-party recruitment agencies; therefore we will not pay a fee for resumes submitted.