Submitted by annie.nguyen on Tue, 12/17/2013 - 15:02
Industry:
Salary:
2000$ - 2500$
Job type:
Location:
Reference:
Ms Jess Nguyen
Expired date:
Sunday, March 16, 2014
Responsibilities:
- Cash Management:
- Review and monitor the cash flow forecast of the Subsidiaries, with a primary aim to enhance the overall reliability of the forecasts.
- Consolidate the cash flow forecast:
- Prepare the cash flow forecast directly managed by the company & regional office, and prioritize payments in line with forecasted collection.
- Prepare cash flow and cash management reports in a timely and accurate manner and ensure that all cash flow concerns are highlighted to the relevant Directors as soon as practicable to prevent major cash flow problems.
- Ensure that proper cash management processes are implemented to ensure cash pulling and optimization of cash use
- Make suggestions on how to improve the cash flow monitoring, cash collection and processes regarding cash management to the General Manager and Regional Finance Director, and implement any agreed improvements.
- Control cash contributions.
- Issue invoicing in line with the contractual terms and project scheduling, ensure payment is made within the terms of the contract, with a key aim to reduce time to the pay and minimize aging debts (to offshore subsidiaries).
- Implement risk control and risk management processes to ensure risk management related to exchange rate, liquidity, improvement of working capital, etc.
- Ensure cash collection is monitored and followed-up on a daily basis and flag any collection problems directly with the Finance Manager and Regional Finance Director.
- Assist subsidiaries in the set up of local financing.
- ERP Management:
- Define resources (human and financial) and timing required to roll out ERP system
- Define resources (human and financial) to maintain ERP system to ensure proper performance.
- Define the action plan for the roll out of the ERP System.
- Manage the roll out process.
- Ensure the mapping of inter-co accounts are properly set-up in the ERP System.
- Checking the bank reports.
- Alerting the General Manager and Regional Finance Director to any irregularities or concerns with the level of available cash or cash flow forecasting in the organization
Requirements:
- Degree qualified in Accounting or Finance.
- A minimum of 3 years experience in a similar role within a multinational organization.
- Excellent demonstrable understanding of the principles of cash management.
- A good working knowledge of tax legislation and company financial compliance regulations.
- A good working knowledge of accounting software and cash flow reporting.
- Excellent time management skills, particularly in relation to cash collection.
- Excellent attention to detail in particular for financial reporting accuracy.
- Excellent knowledge and advanced user of Microsoft Excel.
- Experience in advance use of ERP system preferred.
- Advanced English skills are a pre-requisite for this position
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