Job Posting Title:
Specialist, Revenue Operation (Cash Management)
Req ID:
10155097
Job Description:
Job Responsibilities:
- Perform bank, FX and LC operations, and manage short-term and long-term cash flow to ensure sufficient funding for payroll, projects, and third-party payments in accordance with company policies.
- Manage day-to-day cash management activities accurately and timely, including distributing manual cheque payments and related documents, preparing bank reconciliations, journal entries, and reports for cost allocations and financial reporting.
- Initiate activities related to share capital injections from TWDC and government loan conversions in accordance with relevant agreements.
- Participate in and support finance transformation, process improvement, and other finance-related projects.
- Administer company bank accounts and maintain day-to-day relationships with banking partners.
Job Requirements:
- Degree in Accounting, Finance, Business Administration, or related disciplines.
- 3–5 years of experience in treasury, cash management, banking operations, or finance functions.
- Knowledge of cash flow forecasting, bank/FX operations, bank reconciliations, and payment processes.
- Detail-oriented with the ability to work independently and manage multiple priorities.
- Experience with SAP Payment Module and finance transformation/process improvement projects is an advantage.
- Good communication skills in both written and spoken English and Chinese.
HKProfessional
#LI-NL1
Job Posting Segment:
Finance
Job Posting Primary Business:
Finance / Financial Management (HKDL)
Primary Job Posting Category:
Accounting
Employment Type:
Full time
Primary City, State, Region, Postal Code:
Lantau Island, Hong Kong
Alternate City, State, Region, Postal Code:
Date Posted:
2026-07-16