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Treasury - China Cash Analyst

Role overview

Qualifications

  • Bachelor's degree in business administration / finance / economics or similar field
  • Treasury management experience
  • Knowledge of cash management operations, daily cash positioning, intercompany funding execution and banking products and services

Responsibilities

  • Support the Regional/Country leader with the Cash and Day 2 intercompany funding process
  • Assist with performing daily global cash positioning activities
  • Record and reconcile daily cash activity in cash position worksheet
  • Process manual and electronic payments

Key facts

  • Remote from: China
  • Full time
  • Treasury Analyst
  • English

Hard skills

Other skills

  • Communication
  • Social Skills
  • Problem Solving
  • Time Management
  • Organizational Skills
  • Negotiation
  • Analytical Skills

About the company

GE Vernova logo

GE Vernova

Energy Technology

Building on over 130 years of experience, GE Vernova is leading a new era of energy – electrifying the world while simultaneously working to decarbonize it. Addressing the climate crisis is an urgent global priority and we take our responsibility seriously. If we want our energy future to be different…we must be different. Our mission is embedded in our name. We retain our treasured legacy, “GE,” in our name as an enduring and hard-earned badge of quality and ingenuity. “Ver” / “verde” signal Earth’s verdant and lush ecosystems. “Nova,” from the Latin “novus,” nods to a new, innovative era of lower carbon energy that GE Vernova will help deliver. GE Vernova brings together GE’s portfolio of energy businesses including Power, Wind, Electrification and Digital businesses. With focus, GE Vernova is accelerating the path to more reliable, affordable, and sustainable energy, while helping our customers power economies and deliver the electricity that is vital to health, safety, security, and improved quality of life. Together, we have The Energy to Change the World.

Company details

Company typeXLarge
IndustryEnergy Technology
Company size10001

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Job description

Job Description Summary

Job Description

Job Description:  

Treasury HQ – China Cash Analyst is part of the Treasury team of GE Vernova HQ. Treasury is responsible for GE Vernova’s activities within Financial Reporting and Risk, Exposure Management, Trade Finance, Corporate Finance, Business Treasury, Insurance and Transaction Services. 

This role sits within the Cash Operations function under the Region Lead APAC, with the function under the Head of Cash Management in the Corporate Finance section. 

Roles and Responsibilities: 

  • Support the Regional/Country leader with the Cash and Day 2 intercompany funding process for the enterprise, consistent with the framework set by the global leader.  

  • Assist with performing daily global cash positioning activities 

  • Record and reconcile daily cash activity in cash position worksheet 

  • Process manual and electronic payments 

  • Ensure adequate funding of all disbursement and payroll accounts 

  • Execute daily short-term investments and borrowings, after approval 

  • Support the execution and review of payments, as required 

  • Provide support for cash forecasting activities, as needed 

  • Record IC loans and revolver borrowings, as required 

  • Manage Day 2 intercompany transactions, as required 

  • Assist with bank account management activities including preparing documentation and maintaining bank account database  

  • Analyze bank fees and balances 

  • Provide support with transaction processing for intercompany loans and FX spot payments 

  • Assist with foreign currency exposure identification and analysis 

  • Prepare management reports and performance measurement of treasury activities 

  • Support Regional/Country leader in implementing process improvements to optimize treasury activities, automate functions and increase internal controls 

Required Qualifications: 

  • Bachelor's degree in business administration / finance / economics or similar field 

  • Treasury management experience 

Desired Characteristics: 

  • Knowledge of cash management operations, daily cash positioning, intercompany funding execution and banking products and services 

  • Strong PC and software expertise 

  • Excellent oral and written communications, interpersonal, research analysis and problem solving skills 

  • Ability to take initiative, while also working closely in identifying and meeting business needs 

  • Operates with a high degree of independence and autonomy; demonstrated by strong planning, organizational, time management, negotiating, and analytical skills 

Additional Information

Relocation Assistance Provided: No

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Marcus Rivera

Chief Revenue Officer

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