รายละเอียดงาน- Hybrid work from home 1 days per week
Responsibility
•Treasury Functions:
Oversee daily cash management, funding, and investing activities. Handle interactions with financial institutions to optimize financial operations.
•Loan Facilities:
Study and arrange short-term and long-term loan facilities. Review Credit Facility Agreements and related contracts to ensure favorable terms.
•Inter-Company Loans:
Prepare and settle inter-company loans. Seek optimum funding choices and ensure the best cost of capital for the company and its subsidiaries.
•Credit and FX Lines:
Maintain and arrange credit lines and foreign exchange (FX) lines with financial institutions, handling both local and foreign currencies.
•Reporting:
Prepare and manage daily/monthly treasury-related reports, ensuring accuracy and timeliness.
•FX Hedging:
Execute foreign exchange hedging strategies to manage currency risk.
•Supervise Overseas Operations:
Oversee the opening of Letters of Credit (L/C) and Bill for Collection processes for overseas operations.
•Dividend Payments:
Arrange and coordinate the payment of dividends in accordance with company policies.
•Bank Coordination:
Coordinate with banks to fulfill treasury requirements, submit necessary documents, and ensure compliance within defined time frames.
•Cash Flow Management:
Forecast and manage cash flow to meet daily operational requirements efficiently.
•Additional Duties:
Perform other assignments as required by the Treasury Manager or senior management.