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Tuyển dụng Chinese-Speaking Accountant tại Hồ Chí Minh

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Kỹ năng cần có cho Chinese-Speaking Accountant

Mô tả công việc Chinese-Speaking Accountant

About the Role


Monthly Salary: VND 20,000,000–25,000,000 gross, negotiable based on experience and Chinese proficiency.


We are looking for a Treasury & FX Specialist to manage daily cash flow, banking operations, domestic and international payments, and foreign-exchange monitoring. The role requires frequent communication and reporting to our headquarters in China; therefore, professional Chinese proficiency is required. Strong English proficiency is not required.


This is a corporate treasury and foreign-exchange operations role. It does not involve speculative trading or personal investment activities.


Key Responsibilities


- Monitor relevant foreign-exchange rates and market movements during working hours.

- Maintain a daily FX rate tracker and provide timely updates to the management team.

- Obtain and compare exchange-rate quotations and transaction costs from banks or other authorized financial institutions.

- Monitor the company’s foreign-currency requirements and prepare recommendations on transaction timing, amount and available rates.

- Execute approved foreign-exchange transactions strictly in accordance with the company’s authorization and approval procedures.

- Prepare short-term cash-flow forecasts and monitor daily bank balances.

- Process and follow up on domestic payments, international payments, receipts and cross-border remittances.

- Prepare and collect contracts, invoices and supporting documents required by banks for payments or foreign-exchange transactions.

- Coordinate with banks on account administration, payment status, KYC and other operational matters.

- Maintain complete records of quotations, approvals, payments and foreign-exchange transactions.

- Perform initial bank reconciliation and provide complete bank records to the General Accountant.

- Report unusual exchange-rate movements, payment delays, insufficient balances or other financial risks promptly.

- Communicate with the headquarters in China and coordinate with the General Accountant and business teams.

- Perform other reasonable treasury and finance-related duties assigned by the company.

Yêu cầu công việc

- Bachelor’s degree in Finance, Accounting, Banking, Economics or a related field.

- At least two years of experience in treasury, banking operations, international payments, cash management or foreign-exchange operations.

- Fluent Chinese for daily communication and reporting. HSK certification is preferred but not mandatory.

- Basic English reading ability is sufficient; strong spoken English is not required.

- Familiar with bank payments, cross-border remittances, exchange-rate quotations and supporting-document requirements.

- Able to use Excel to prepare cash-flow forecasts, rate comparisons and transaction records.

- Strong numerical awareness, attention to detail and risk awareness.

- Experience working with commercial banks, travel companies, airlines or cross-border businesses is an advantage.


Quyền lợi

  • Khác: Statutory insurance and leave entitlements will be provided in accordance with Vietnamese labor laws.
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