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Hà Nội

Maps
  • Ngày cập nhật

    08/06/2026

  • Ngành nghề

    Ngành khác

  • Hình thức

    Nhân viên chính thức

  • Lương

    Cạnh tranh

  • Kinh nghiệm

    Trên 1 Năm

  • Cấp bậc

    Nhân viên

  • Hết hạn nộp

    08/07/2026

Phúc lợi

  • Phụ cấp
  • Đồng phục
  • Chế độ thưởng
  • Chăm sóc sức khỏe
  • Đào tạo
  • Tăng lương
  • Phụ cấp thâm niên
  • Nghỉ phép năm

Mô tả Công việc

- Performs daily corporate cash management and forecasts daily cash requirement.
- Monitors and manages company’s daily cash position.
- Handles daily liquidity management.
- Determines daily cash balances available for investment.
- Conducts borrowing and investing/FX activities.
- Performs transactions and resolve errors.
- Manages, maintains and administers interbank relationships.
- Recommends and implements improvements to current cash management processes.
- Gathers, interprets, and prepares cash flow projections.
- Ensures adequate liquidity.
- Executes funds movement and investment transactions.
- Appropriately invests excess cash balances and administers short-terms investments.
- Resolves foreign exchange (FX) currency issues in terms of settlement of delivery.
- Posts and files cash receipts.
- Tracks and resolves pay exceptions.
- Assists to make periodical reports to Board or State Bank of Vietnam,...
- Other tasks assigned by Treasury Head/Manager.

Yêu Cầu Công Việc

• 1+ Years job related experience preferred. Prior banking or investment operations experience is a plus.
• Bachelor Degree in Finance/Business/Accounting.
• Good interpersonal, and analytical skills. 
• Self-motivated with energy and drive to deliver effective outcomes. 
• Time management: prioritize tasks to meet deadlines. 
• Personal Attributes: Be prudent, precise, and detailed 
• Demonstrate sound work ethics

Thông tin khác

  • Độ tuổi: Không giới hạn tuổi
  • Lương: Cạnh tranh

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