Treasury Manager with US Listed Fortune 500 Company
Growing Business Opportunities
About Our Client
Our client is an American Multinational corporation with established presence across different continents. To support their business growth, they are now looking for a high caliber individual to join them as a Treasury Manager.
Reporting to the Finance Controller with matrix reporting line to the Regional Treasurer, you will be responsible for financial risk management, liquidity management, banking relationship management, investments, FX hedging and take ownership of managing, monitoring and reporting of position of the entitities at a regional level.
You will monitor foreign exchange risks, interest rate risks, counterparty risks, and manage asset liability. You will conduct risk analysis, produce and present regular reports to the Group. You will develop and implement risk policies and operating procedures to ensure risks are mitigated. You will also work very closely with the business on new initiatives to enhance business operations.
The Successful Applicant
You will a degree holder in Finance or related discipline. You will have at least 8-15 years of financial risk management experience gained from multinational company. You will be an open minded and self-motivated individual who can work independently. You need to be a good team player with excellent communication skills. A good command of English & Chinese writing as well as Mandarin.
What's on Offer
This is an excellent opportunity to join a renowned company. Our client offers a competitive package and a dynamic environment with great opportunities for career development.