Tarikh permohonan telah ditutup pada 28 Jun 2019. Harap maklum.
Job Description Assist in analysis and forecast cash flow positions, sourcing and negotiating banking/credit facilities with financial institution. Preparing of relevant treasury reports relating to cash flow, loans, projects. Prepare treasury letters, bank guarantee, bank letters for fixed deposit placements/ renewals/ withdrawals and fund transfer and any other correspondence with Bank. Liaising with other departments on a range of issues in connection with treasury. Liaising with bankers and lawyers and maintaining positive working relationships. To assist in the administrative duties of the department and other follow-up functions. Requirements: Possess Diploma in Finance or relevant qualification in Treasury with at least 1 year working experience of treasury management. Required skills: MS Office, MS Excel, MS Power Point, MYOB Required language: BM & English Process oriented and numerically inclined with analytical mind. Effective written and good interpersonal communication skills. Able to work independently Comfortable with working in a fast paced environment and meet tight deadlines. Good spreadsheets and database skills. Interested candidates, please submit your application online with a photograph including your current and expected salary to firstname.lastname@example.org
|Construction / Development||12 Jun 2019 01:03:36|
LOT 6, JALAN 6C/13B, KOMPLEKS PREMIS USAHAWAN SME BANK, TAMAN PERUSAHAAN IKS, SEKSYEN 16, 43650 BANDAR BARU BANGI, SELANGOR.
43650, BANDAR BARU BANGI