■Job Function/Purpose
As an AR & Treasury Manager, you will play a key role in ensuring the accuracy and integrity of financial information, managing various AR and Treasury functions, and showcasing strong analytical skills to perform accurate cash flow forecast and credit limit control. This position covers to supervise and manage AR team and evaluate day-to-day activities. Position’s responsibilities include establishing financial status by developing and implementing systems for collecting, analyzing, verifying and reporting information. This position will work closely with sales team, business planning team and international treasury and finance team. This role requires extensive background in treasury and analysis.
■Primary Responsibilities/Accountabilities
<AR>
・Review customers for credit evaluation and collection
・Controls of credit limit, evaluation and monitoring of AR to minimize credit risks
・Monitor and review of AR forecast against actuals and reporting of variance analysis
・Business partnering with sales function and preparation of AR forecast
・Work closely with Business planning team, sales team and Global Treasury team to help them understand AR booked in the local ledger
・Manage AR aging and bad debit
<Treasury>
・Monitor real time cash flow and identify high risk transactions within the business
・Ensure solvency of HBI at all times e.g., by maintaining sufficient liquid reserves based on cash management of each bank account
・Perform cashflow and Balance Sheet forecasts to support global treasury’s hedging activities
・Manage FX and hedging
<Analysis and reporting>
・Perform financial statement reviews and enhance quality of analytics
・Fund efficiency analysis to analyze and improve the overall efficiency of liquidity funds
・Manage to implement the timely preparation and submission of financial reports by managing other department personnel within established local schedules
・Responsible for the weekly, monthly and quarterly close cycle to ensure accurate and timely reporting
<Other>
・Provide leadership over AR team and makes changes as necessary to benefit the team
・Support accounting project localizing to implement in finance area
・Participate in development/establishment of accounting policies and procedures and operational strategies including the review and implementation of process and system changes
・Manage and liaise with all internal and external stakeholders to support statutory audits
・Leads expertise and provides advice on financial and business concerns to the management team to help to achieve their goals
・Partner with global teams and cross functional stakeholders to establish a cadence for revies and collaboration
・Communicate with bank and necessary departments for any improvement to enhance
・Improve systems and procedures and initiate corrective actions
・Perform and support ad-hoc projects as required
■休日:完全週休二日制, 土, 日, 祝日, GW, 年末年始