
Chi Tiết Tin Tuyển Dụng Digital Marketing Tại Page Group Vietnam
- Hồ Chí Minh: Quận 1, Hồ Chí Minh, Việt Nam
Mô Tả Công Việc Digital Marketing Với Mức Lương Thỏa thuận
This role is responsible for managing daily FX hedging, cash flow forecasting, and treasury operations while coordinating with internal teams and external banking partners. The position also includes risk-related tasks such as supporting insurance processes and compliance reporting.
Description
* Execute daily FX hedging transactions and monitor FX exposures.
* Reconcile exposure reports with accounting records and ensure accurate back-office confirmations and settlements.
* Initiate payments, manage daily cash receipts, and prepare short-term cash flow forecasts.
* Handle intercompany loans, external funding coordination, and compliance with internal treasury policies.
* Manage banking documentation, maintain relationships with financial institutions, and support facility renewals.
* Assist in insurance policy monitoring, declarations, and coordination with regional risk teams (training provided if required).
* Maintain treasury data using internal systems and generate regular reports.
Với Mức Lương Thỏa thuận Thì Cần Những Yêu Cầu Công Việc Gì
Tại Page Group Vietnam Thì Được Hưởng Những Gì
Competitive Package
Cách Thức Ứng Tuyển Tại Page Group Vietnam
Ứng viên nộp hồ sơ trực tuyến bằng cách bấm Ứng tuyển ngay dưới đây.
