Finance
·
Kuala Lumpur
Treasury Manager
About the role:
- Weekly and monthly review and categorize of bank statements.
- Weekly and monthly update of bank balance and cash flow.
- Preparation and upload of journals into SAP for bank validation posting.
- Creation of new beneficiaries in bank.
- Preparation and tracking of payments for MY and SG transactions.
- Perform clearance on auto debit payments.
- Follow up and review of incoming unidentified deposits with bank.
- Perform bank reconciliation.
- Funds transfer arrangement.
- Preparation of statutory payments and corporate tax payments.
Requirements:
- Degree in Business Administration/Accounting/ Finance (or any other related fields).
- Well-versed in local accounting requirements and regulations.
- Minimum 3 years’ experience in Treasury/ Finance functions.
- Prior experience in SAP environment is a must.
- Demonstrated ability to work effectively in a multi-national, matrix organization.
- Detail-oriented and reliable.
- Trade application knowledge TR, BG, SBLC & LC, would be good if have HSBCnet e-Trade application.
- Knowledge Bank Recon via SAP, not manual excel matching experience
- SAP knowledge in Treasury account entry posting and payment made posting
- Short Term Loan Interest Accrual posting in SAP, reversal Short Term Loan Interest Accrual entry upon actual loan due
- Participate finance month end closing, posting last working day bank statement entry into SAP and clearing bank recon open item
- Payment process run by Host to Host as well as manual payment and cashier order request
- Manual payment clearing entry posting in SAP
- Ensure Incoming & Outgoing entry from Bank Statement posted and clearing all entry to correct GL P&L & Balance sheet
- LC settlement via e-banking
- TR due accounting entry posting in SAP
- Cashflow management, weekly update actual OPEX in correct category like rental, capex, salary, vendor payment, TR drawdown, Short Term Loan drawdown, TR due, other expenses
- Update authorised bank contact persons
- Participate annual audit, bank audit confirmation
- Manual download save bank statement, under pipeline of automation
- Update daily cash position with refer to bank statement downloaded
- Any ad hoc assign by Treasury Manager, example account management in terms of change of bank signatories, new/closure bank account, new e-banking access, new user e-banking access for HSBC, Maybank, OCBC, DBS, Hang Seng Bank & RHB.
New business acquisition banking related knowledge transfer, etc.
• Ensure the Master Trade TR, LC, SBLC & BG listing updated by monthly and tally with bank records
- Department
- Finance
- Locations
- Kuala Lumpur
- Brand
- Corporate
- Job Type
- Retail
- Division
- Corporate
- Contract Type
- Full-time
Kuala Lumpur
Finance
·
Kuala Lumpur
Treasury Manager
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