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Treasury Manager (Salary Upto 3000$)

Trung Thuy Group · Hồ Chí Minh
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Type
Full-time
Work mode
On-site
Level
Manager
Industry
Other
Salary
Thương lượng
Location
Hồ Chí Minh, Hồ Chí Minh, Hồ Chí Minh

Overview

  • Cash Flow Management
  • Monitor and control daily receipts and disbursements; maintain adequate liquidity for operations.
  • Prepare weekly/monthly/quarterly cash flow plans and update promptly upon material changes.
  • Approve payment orders within delegated authority; ensure strict adherence to payment procedures.
  • Coordinate with Accounting and Business teams to reconcile receivables and payables.
  • Idle Cash Optimization
  • Identify and allocate idle funds to yield-generating instruments (fixed-term deposits, safe short-term investments).
  • Compare interest rates across banking partners to optimize return on the deposit portfolio.
  • Submit monthly idle cash utilization reports to the CFO.
  • Banking & Credit Relations
  • Maintain and develop banking partner relationships: negotiate credit limits, interest rates, and service fees.
  • Prepare loan and guarantee documentation as required by projects.
  • Monitor debt repayment schedules to ensure on-time payment and avoid penalties.
  • Collections & Reporting
  • Coordinate with Business and Legal teams to monitor and follow up on outstanding receivables.
  • Prepare periodic treasury reports (daily cash position, monthly treasury report) for the CFO.
  • Support audit requests and provide accurate treasury data as required.

Summary of facts from the official posting. View original ↗

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