Responsibilities
- Execute payment processes, wire transfers, and treasury trades; analyze and resolve payment exceptions to ensure seamless transactional flows across various channels.
- Coordinate authorized signatories' availability and schedule and manage the payment calendar.
- Control and analyze bank fees and commissions on a monthly basis, verifying compliance with negotiated bank pricing tariffs. Perform annual reviews of bank charges tariff.
- Generate operational reports as requested; provide regulatory data/reports required by SAFE.
- Contribute to payment flow configurations for system integration projects and platform upgrades.
Qualifications
- Bachelor and above degree in accounting, economics, business, finance, and other related majors. Professional certification such as certified accountant is preferred.
- 2+ years of treasury related experience in FMCG/EC/Retail industry.
- Good command of English literacy.
- Good learning agility and analytical skill.
- Sense of responsibility and strong communication skill, be able to build cross-function collaboration.
- Mastery of Microsoft Excel is must and knowledge of SAP is a plus.