Job summary
Job category | Professional (Consulting / Finance / Real Estate / Professional Services)/Finance |
---|---|
Industry | Health Care/ Other Health Care |
Employment type | Uncategorized |
Position level | Director or Above |
Number of openings | 1 |
Desired entry time | - |
Required language skill | |
Foreign language competence | - |
Working hours | Others |
Welfares / Leave systems |
Work details
• MNC
• Newly created role
Our client has a strong presence in Asia Pacific and is currently looking for a treasury specialist to take on a Regional Treasury Analyst role to drive the best practices in treasury for the group and be responsible for FX hedging and cash management in the regional treasury centre.
This is a hands-on individual contributor role and the incumbent will assist the Regional Finance Manager to drive operational excellence in treasury activities for Asia Pacific, with focus on cash management and foreign exchange risk management. As the company has presence in multiple countries in Asia, you are expected to assess the foreign exchange movement and exposure and execute necessary activities to mitigate the risks. You will help manage banking relationships and working closely with corporate headquarters in cash management and cash forecast.
Requirements:
• Possess a Bachelor of Accountancy or Business or Finance
• Approximately 6 years of work experience with a minimum of 2 years’ relevant treasury experience
• Cash management and forecast experience as well as exposure in FX management is mandatory
• Hands-on and possesses a keen interest to learn
• Good communication and interpersonal skills
• Strong ability to work independently
About interview
Liaison
Regional Treasury Analyst
RGF HR Agent
Negotiable / Unpublished