資深经理,财务
作为 资金、信用与保险管理团队 的领导者,为 上海迪士尼度假区(SHDR) 提供全面支持。
主要职责
- 资金监控与调配
- 实时监控度假区 三家法人主体 的资金状况,确保资金充足并可随时归集使用。
- 在符合人民银行、外管局等法规的前提下,保持每日资金管理的灵活性。
- 投资与收益优化
- 优化投资流程与方案,提升 资金使用效率并最大化收益。
- 日常资金管理
- 负责现金池管理、现金分级管理、外汇风险评估及套期保值。
- 管理银行关系,通过比价、议价等方式获得 最优服务水平与价格。
- 支付与账户管理
- 确保付款系统对接顺畅、流程完善,保障 付款及时性。
- 管理银行账户,构建健康的账户结构,确保 资金合理使用。
- 系统与流程建设
- 主导资金系统开发项目,推动新系统 成功上线。
- 建立并持续优化资金部流程、审批程序及相关政策,提升工作效率与准确性。
- 确保所有内部流程符合 公司政策及内控要求。
- 跨部门与对外协作
- 定期与美国资金团队保持 紧密沟通与合作。
- 针对银行、外管局、税务局等内外部需求, 主动提出解决方案。
- 信用风险管理
- 监控合作企业信用风险,建立 信用评估与循环评估机制。
- 协调并执行信用风险审核制度。
- 结合业务需求,设计并制定 信用风险评级结构。
- 评估内部信用风险评估流程与审核标准。
- 保险及理赔管理
- 负责保险及保险理赔项目,构建 保险方案覆盖范围。
- 与公司内部各部门及外部保险公司沟通协调,高效处理 保险理赔事务。
- 团队领导
- 带领、激励高效、高质量的工作团队
Senior Manager-Finance
Lead the Cash, Credit & Insurance Management team in providing end-to-end support to Shanghai Disney Resort (SHDR).
Key Responsibilities
· Cash Monitoring & Allocation
- Real-time oversight of cash positions across the Resort’s three legal entities, ensuring liquidity at all times and the ability to pool funds on demand.
- Maintain daily flexibility in cash management while fully complying with PBOC, SAFE and other regulatory requirements.
· Investment & Yield Optimization
- Continuously refine investment processes and solutions to maximize capital efficiency and returns.
· Daily Treasury Operations
- Manage cash pools, tiered cash structures, FX risk assessment and hedging.
- Maintain banking relationships, securing optimal service levels and pricing through benchmarking and negotiation.
· Payments & Account Management
- Ensure seamless interfaces and robust workflows for all payment systems, guaranteeing on-time execution.
- Oversee bank accounts to create a healthy account structure and enable optimal fund utilization.
· Systems & Process Development
- Lead treasury system development projects and drive successful go-lives.
- Establish and continuously optimize treasury workflows, approval procedures and policies to enhance efficiency and accuracy.
- Ensure all internal processes comply with company policies and internal-control requirements.
· Cross-Functional & External Collaboration
- Maintain close and regular communication with the U.S. treasury team.
- Proactively develop solutions for banks, SAFE, tax authorities and other internal/external stakeholders.
· Credit-Risk Management
- Monitor counterparty credit risk and implement credit assessment and periodic review mechanisms.
- Coordinate and enforce credit-risk review policies.
- Design and maintain a credit-risk rating framework aligned with business needs.
- Evaluate the adequacy of internal credit-risk assessment processes and approval standards.
· Insurance & Claims Management
- Structure comprehensive insurance programs and coverage scopes.
- Coordinate efficiently with internal departments and external insurers to handle claims promptly and effectively.
· Team Leadership
- Inspire and lead a high-performing, high-quality team.