Posted 2 weeks ago
Benefit: 5 Day work, 900am-530pm, double pay, bonus, 15AL, medical
Job Duties:
- Handle daily Export LC, Import/Export Bills transactions, collection & settlement
- Liaise with bank for LC issuing, Import /Export Bills negotiation and discrepancy
- Handle colleague’ inquires on trade transactions
- Prepare daily and monthly departmental reports and analysis
- Handle daily treasury operation, includes fund squaring
- Liaise with bank for FX contract, loan & deposit, and KYC review
- Assist in cash flow forecast, FX analysis and interest rate monitoring
- Prepare daily and monthly treasury reports
- Assist in ad hoc assignments
Requirements:
- Degree holder
- 2-3 years working experience in trade finance operation
- Experience in bills operation in banks or commercial firms is an advantage
- Basic knowledge of trade documents & UCP is preferred
- Good interpersonal & presentation skills
- Responsible & self-motivated
- Having Treasury Operation in banks or commercial firms is an advantage
- Good command of Cantonese, Mandarin and English
We are welcome applicants resend resumes to us even you have applied jobs in our company before.
(Personal data submitted are for recruitment purpose only.)
Job Features
Job Category | Accounting & Finance |