- Featured JobHéféi ShìPermanent
This job is a headquarter level position. Job holder will be responsible for tax and treasury management, inclusive of bank accounts & authorities, cash pool, FX, hedging, cash forecast, investment controlling, dividend payment and etc.,
Fantastic career opportunity
- Héféi ShìPermanent
Job holder will be responsible for tax and treasury management, inclusive of bank accounts & authorities, cash pool, FX, hedging, cash forecast, investment controlling, dividend payment and etc.,
Fantastic career opportunity
- Guǎngzhōu ShìPermanent
I am now helping a prestigious US FMCG to hire a Treasury Assistant Manager. The role will report to the treasury function head and will bridge the treasury team and external banks and maintain a high level of treasury compliance and control. FMCG background treasury candidates are ideal.
Attractive career platform
A globally recognised FMCG brand
- ShànghǎiPermanentRMB200,000 - RMB300,000
A fast growing new energy company is finding a tresury role to take resposibility of their cash flow and operation AR, credit management. They are listed company with incresing revenue. Besides, the office is very downtown and they can offer you a promising career development.
new energy industry
We are helping our clients hiring a treasury manager based in Shanghai. The role will lead 1 assistant reports to Finance controller and is responsible for corporate finance and investment related work. Other than evaluation of feasibility studies submitted by the business managers, to also help the various cities.
Great brand name
Excellent treasury focused job opportunity in a top multinational retail group. You will be able to stay close to commercial end and keep track with most recent business trend.
Global leading player in fashion retail industry
Strategic role with close communication to commerical business
This role is focusing on cash management, hedging and FX. Being a treasury manager, you will coach and provide suggestions to sub legal entities' cashier. Your stake holders will be at European HQ and Asia Pacific regional office.
Competitive benefits and allowance
This role will be in charge of the whole Treasury and responsible for daily RMB operation, payment vouchers pre-check, maintaining cash & bank balances as well as performing monthly bank reconciliations to make sure all Treasury transactions are in line with Treasury Policy and Company compliance reporting to CFO directly.
This role will lead a sizeable team reporting to CFO to lead changes.
This company provides a good platform for career development.
Didn't find the right Finance & Accounting job for you?
Create Job alert to receive Finance Accounting - Finance & Accounting - Treasury jobs via email the minute they become available
Submit your CV to register with us and we will contact you if a suitable role becomes available.