公司介绍
约翰迪尔

This job position will:

1. Treasury accounting in funding and cash management.

2. Treasury related work such as cash flow forecast and banking management.

3. Daily download CCB remittance and send it to Collection Dept. before 9:00

4. Receive Collection Dept. instruction to apply rental or late interest

5. Run late interest bill and apply according to list

6. Receive Collection Department's format on customer or dealer TT indication

7. Prepare HSBC funding data in HSBC e-banking

8. Check & confirm intercompany payable, receivable with JDCI/TW

9. Change name of bank signature

10. Application of U key for user of E-banking

11. Apply for open and close bank account

12. Confirm loan & interest repayment with HSBC

13. Prepare cash flow forecast monthly

14. Prepare loan drawdown notice for signature

15.Accrual and preparation entry each month & ensure all supporting attachment for JV.

 

Qualification

1. Ability to use standard desktop load applications such as Microsoft Office plus internet functions.

2. Speak & write English;.

3. 2018 or 2019 master or bachelor graduates