Independently decide and execute financing drawdown with facility banks, including communication with banks, cost calculation, documents execution and Quantum input.
Handle multicurrency cross border payment and collection, e.g. goods trading, service fees; align with platform and FX traders to ensure timely settlement of spot/forward position.
Cash forecast and provide liquidity support to all platforms margin call and cash commodity purchasing
Operate transit trades under general settlement a/c or FTE a/c
Manage and monitor domestic and cross border cash pool
Handle capital account business, such as capital injection, dividend payment, foreign debt, equity transfer
FX gain or loss settlement based on daily FX exposure reporting
Management and execution of deposit products in banks as well as deposit rates in system
Daily inter-company funding...
★ Ready to Start Your European Career?
Take the next step and apply for this exciting opportunity