Translation of pitches or materials from English to Chinese Project working on improving purchase hedge forecast' (USD needs) accuracy Update and monitor all FX deals initiated by Group Treasury Assist to manage the liquidity reporting of adidas International Trading BV Analyzing the cash flow movement in relation to the changes in P&L and BS accounts of adidas International Trading BV Assist to perform analysis of actuals vs forecast for both Exchange Rate Variance and Liquidity Planner Professional Training - make progress along the professional training development path Play an active role within the team in further improving the Finance environment Management reporting for Australian, North America, UK & Asian domiciled entities Preparation of monthly balance sheet reconciliations & General Ledger processing