Corporate Finance & Investment Banking (Banking & Financial Services)
- Initiate online banking timely based on cash planning approved by direct/indirect superior/senior.
- Prepare letter of instruction to execute spot FX deal, fund transfer, etc.
- Update bank accounts balances/remittance suppliers account balances
- Follow up progress of fund transfer and payment instruction to ensure crediting to beneficiary bank account to prevent the potential delays.
- Ensure Trade and Non-Trade payables process on time and accounting entry flowed accurately.
- Ensure allocation in enough to process current or future payment.
- Top up supplier wallet timely once fund credited to bank account.
- Always ensure CMS entry including but not limited to wallet top up, partner fund transfer, wallet adjustment, etc. been raised timely and accurately.
- Tracking on the interest income and monitor it on accumulated basis and daily achievement.
- Accurate and up-to-date templates maintenance in TMS and online banking portal.
- Tracking incoming prefunding from RSP and alert SO team timely (applicable to destination bank account is supplier’s wallet).
- Monitoring and arranging credit facilities (Funding Societies and Capbay) timely and accurately.
- Assist to ensure authorised signatories for banks/payment institution/Financial institution are updated timely.
- Assists in bank account opening , closing and annual review (changes on directorship/authorised signatories)
- Kick start bank account opening/closing/ changes on authorised signatories process timely once instruction obtained from the management.
- Always maintain proper filing for all bank account related documentation.
- Assists to ensure user access for online banking and TMS are updated timely according to the role assigned.
- Assists to ensure approval matrix is maintained accordingly between banks and TMS.
- Assists in TMS system administrative portion and to ensure is timely updated.
- Assists in the Token Management and to ensure is up-to-date and accurate in TMS.
- Liaise with internal and external stakeholders to ensure smooth day-to-day treasury operations.
- Assist on ad-hoc treasury related matters whenever assigned by direct superior/senior.
Requirements
1-2 years experienced with cash management, bank account management
Good communication
Responsible, Take Ownership
Malaysian
Company information
Registration No.
809241-M
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