รายละเอียดงาน1. Manage all aspects of cash management such as, monitor corporate liquidity, forecast medium and long term of cash flow, manage and allocate cash balance to meet timely cash requirement and optimize available for investment.
2. Perform monthly cash flow forecasting and work closely with finance and business teams to understand cash flow and business requirements.
3. Monitor all current and projected cash inflows and outflows to ensure that the company has sufficient cash on hand to fund the company’s operations.
4. Maintain executive responsibility for financial operations, including working capital, capital expenditures, debt levels, taxes, budget, and general accounting.
5. Support business & operation team on bank-related products or financial matters.
6. Coordinate and work closely with Business Development team to understand business direction, potential projects and identify investment opportunities.
7. Maintaining Bank relationship and negotiate on bank products.
8. Ensures compliance with internal controls, policies, and procedures in daily cash management activity.
9. Continue to develop lean & suitable finance and operating procedures to improve operational efficiency.
10. Ad-hoc tasks as assigned