Senior Financial Specialist
We are seeking an experienced Treasury professional to oversee our corporate funding, cash flow forecasting, and financial controls for our overseas subsidiaries. In this role, you will be responsible for managing daily liquidity, handling regulatory reporting for financial instruments, and managing international bank credit lines. The ideal candidate has a strong background in corporate finance, excellent communication skills, and the ability to navigate cross-border financial operations.
Key Responsibilities:
- Fund inflow and outflow management, and cash flow forecasting and planning.
- Formulation of information reporting procedures to regulatory authorities (fund lending, guarantees, derivative financial products).
- Planning and communication for overseas subsidiary fund management.
- Planning for managing overseas subsidiary bank credit lines.
- Tasks assigned by supervisors.
Job Requirements
- Departmental Requirements: Business and Management Disciplines.
- Language Proficiency: English fluent.
BizLink is looking for the best & brightest talent
No matter the location, or the role, every BizLink employee shares one mission: Make interconnection easier to improve the quality of life and turn customers' innovative ideas into reality.
Have questions about our positions? Feel free to email us at: recruitment@bizlinktech.com
Please note: This email is for inquiries only. To be considered, all applications must be submitted by clicking the "Apply Now" button on the job posting.
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