京东国际区域资金管理专员
任职要求
财务、审计、金融或相关领域本科及以上学历。
有1年及以上资金管理经验,优先考虑有跨国公司或多国银行经验的候选人。
具备较强的分析和逻辑思维能力,能够快速学习。
优秀…工作职责
资金执行:负责区域资金结算执行、资金补充、信用卡账单及托收等日常资金操作; 手册优化:负责制定适用于资金中心的资金操作流程及操作手册; 问询答疑:针对业务关于资金收付款日常问题做一道问询服务。 Fund Operations Execution: Handle daily treasury operations including regional fund settlements, liquidity replenishment, credit card billing and collection processing Operation SOP Build Up: Develop and maintain standardized operating procedures (SOPs) for the treasury center Continuously optimize fund operation manuals and workflow documentation Business Support: Serve as primary contact for business units' payment/receipt inquiries Provide timely resolution to routine treasury-related operational questions
1、确保准确及时的资金管理活动,包括日常支付、银行保函开立、头寸管理、合规申报、月度结账等; 2、支持集团内部资金相关日常咨询; 3、支持内、外部审计工作; 4、协助梳理、优化SOP,和优化、迭代财务管理系统; 5、协助进行行业/区域调研、项目调研; 6、协助进行资金管理/运营分析。
1、主导搭建和管理集团海外现金池,海外子公司现金预测(Cash Forecast),优化跨境资金调度,降低外汇风险; 2、建立海外交易对手(银行/客户)信用评估体系,监控国别风险及金融机构风险敞口; 3、负责发起及优化海外资金的分配调拨方案(国家公司注资/流动性支持,分红,股票回购等),提升海外资金收益; 4、开拓多元化融资渠道(银团贷款、债券发行等),降低融资成本,监控国际资本市场机会; 5、海外贸易融资,管理信用证、保函等贸易融资工具,优化担保结构及银行授信使用。
1.资金运营管理:协助管理区域内日常资金运营,包括电信运营商、KA及代理渠道的资金状态监控及履约记录分析,为区域财务提供有效数据支持; 2.信用风险监控:协助开展交易客户信用状况定期评估与风险预警监控,识别买方潜在的财务及经营风险,支持信用策略执行并优化区域现金流表现; 3.账税合规管理:协助收集、整理泰国当地会计准则、税务政策及相关法律法规,参与编制内部合规指引手册;支持中泰双语财务文档的翻译与校对工作; 4. 外部机构对接:协助对接外部金融机构、泰国本地会计师事务所、税务师事务所及政府机构,跟进企业注册、税务申报、年度审计、支付项目等流程。 1. Treasury Operations Management: Assisted in daily regional treasury operations, including monitoring fund status and contract performance of telecom operators, key accounts (KA), and agency channels; provided data-driven support for regional financial decision-making. 2. Credit Risk Monitoring: Supported periodic credit assessments and early warning monitoring for transaction clients; identified potential financial and operational risks to support credit policy implementation and optimize regional cash flow performance. 3. Accounting & Tax Compliance: Assisted in collecting and organizing Thai accounting standards, tax regulations, and relevant legal requirements; contributed to the development of internal compliance guidelines; supported translation and proofreading of financial documents in Chinese and Thai. 4. External Stakeholder Coordination: Coordinated with external financial institutions, local accounting and tax firms, and government agencies; supported processes related to company registration, tax filing, annual audits, and payment projects.