行业 | 其它 | 职位 | 其它 |
招聘部门 | 财务部 | 招聘人数 | 若干 |
工作地区 | 全国 | 工作性质 | 类型 |
性别要求 | 性别 | 婚姻要求 | 婚姻 |
学历要求 | 学历 | 工作经验 | 1年以上 |
招聘人数 | 不限年龄 | 待遇水平 | 面议 |
更新日期 | 2024-11-23 | 有效期至 | 长期有效 |
招聘
站内搜索
|
招聘 其他
发布时间:2018-11-29 浏览次数:276 返回列表
职位描述 Major Responsibilities:
1.Responsible for financing, cash management, strategy analysis and treasury Control functions.
2.Work out and consistently improve the treasury management policy to ensure alignment on overall group treasury and finance strategy to maintain financing flexibility/agility as well as minimize financing cost.
3.Build a comprehensive and multi-channel solution in financing, including banking, syndication loan, corporate bonds and etc.
4.Be involved in the corporate major decisions in investment and M&A projects to upgrade the asset combination.
5.Establish, maintain, and manage banks/securities traders both local and central levels.
6.Cash Management - Mobilize in country cash across entities/businesses-Optimize the usage of the cash in country/China to improve balance sheet management for the holding company.
Requirements:
1. University degree or above majored in finance fields, preferably age from 35 to 45.
2. Over 8 years of experience in finance management, including 3 years in the middle management and above positions.
3. Rich experience in funding with successful track record in funding.
4. Mature professional with strong capability in dealing with key stakeholders including banks, securities traders and investors.
5. Strong preference for people with security industry experience.
6. Able to read and write in English.
|