Group Function - Treasury Specialist

AI overview

Engage in comprehensive treasury support for group and overseas entities, develop banking relationships, manage cash flow, and ensure compliance while handling diverse financial challenges.

NetEase is seeking an enthusiastic Group Treasury Specialist to join the Overseas Treasury team. This is a dynamic role with comprehensive scope and significant business impact.

Responsibilities

  1. Group: Support the treasury activities of group and overseas entities in HK and overseas.
  2. Internal Business Partner: Liaise with business and corporate function teams on their treasury and banking requirements;
  3. External Business Partner: Develop and maintain relationship with various banks to meet the ongoing and expanding demands on various banking products (cash management, deposits, foreign exchange, payments, working capital facilities, custodian services);
  4. Cash Management: Monitor cash flow and bank account balances, if needed, arrange for group funding and/or external bank financing to meet shortfalls; Manage excess liquidity for yield enhancement.
  5. Payment: Manage overall payment processes of the responsible overseas entities; Coordinate and arrange for bank accounts opening and administration, including ongoing KYC and compliance;
  6. Reporting: Prepare periodic treasury reports and facilitate monthly financial reporting and other external reporting of treasury-related activities;
  7. System: Coordinate on treasury/finance/OA system deployment and implementation, including H2H connectivity with banks;
  8. Risk Management: Ensure compliance with internal policies and procedures; identify risks and weaknesses and suggest enhancement/improvement;
  9. Project: Ah-hoc projects assigned by management.

Qualifications

  • Good written and spoken English. Good written Simplified Chinese and spoken Putonghua;
  • Possess good communication skills and techniques with internal and external parties;
  • Bachelor’s degree in accounting, audit, business, economics, financial management or other related discipline preferred;
  • Minimum 5 years of relevant working experience in corporate treasury with experience in treasury activities in HK and/or overseas markets;
  • Ability to work independently and under pressure with minimum supervision;
  • Strong analytic skills and knowledge with various bank products and KYC requirements;
  • Experience with e-banking platforms such as CitiDirect and HSBCnet is a plus;
  • High integrity, responsible, detail-minded and able to work in a team across different regions;
Ace your job interview

Understand the required skills and qualifications, anticipate the questions you may be asked, and study well-prepared answers using our sample responses.

Treasury Specialist Q&A's
Report this job
Apply for this job