工作職責
1. Cash Management & Yield Optimization: Manage daily and project-based cash pools, utilizing bank deposits, money market instruments, and short-term investments to maximize returns while ensuring liquidity and security.
2. Financing Strategy & Cost Control: Assess and execute corporate financing needs (e.g., working capital, mid- to long-term project loans) and negotiate with banks for optimal rates, limits, and terms to minimize financing costs.
3. Bank Relationship Management: Develop and maintain strong relationships with domestic and international banks and financial institutions; act as the company’s primary financial liaison and evaluate banking services and pricing.
4. Market Intelligence & Analysis: Monitor financial markets, monetary policy, interest rate trends, and new financial products to provide insights supporting treasury decisions.
5. Internal Coordination & Reporting: Collaborate with accounting and business teams to forecast cash flows and prepare regula
理想人選
*英文精通
*深厚的銀行人脈
*敏銳的市場洞察力、卓越的談判與議價能力、嚴謹的風險意識