1. Cash Flow Management
2. Capital Raising & Banking Relationships
3. Bank Payment Operations
4. Reporting & Coordination
Bachelor’s degree in Finance, Banking, Economics, or related fields.
Professional certifications such as CFA, ACCA, or experience with international banking practices is plus
Proficiency in both English and Vietnamese.
Minimum 3–5 years of experience in corporate treasury or financial management.
Prior experience in implementing the Treasury Management module on ERP systems is preferred.
Proficiency in financial analysis, cash flow management, and financial software tools (Excel, ERP).
Strong communication skills and ability to work effectively with banks and financial institutions.
High attention to detail and strict adherence to financial procedures and compliance requirements.