Assist in analysis and forecast cash flow positions, sourcing and negotiating banking/credit facilities with financial institution.
Preparing of relevant treasury reports relating to cash flow, loans, projects and securities pledged.
Prepare treasury letters, bank guarantee, bank letters for fixed deposit placements/renewals/withdrawals and fund transfers and any other correspondences with banks.
Responsible for timeliness and compliance with relevant financial reporting of loan review
Liaising with other departments on a range of issues in connection with treasury.
Liaising with bankers and lawyers and maintaining positive working relationships.
To assist in the administrative duties of the department and other follow-up functions.
Job Requirements:
Candidate should possess a Bache...
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