Senior Treasury Analyst

Job Description

Position:

Senior Treasury Analyst

Job Description:

JD

What You’ll be Doing
•    Manage foreign currency exposure and perform hedging & FX results analysis for APAC.
•    Perform cash concentration & management.
•    Participate to maintain bank relations, set up & maintain banking facilities, open / close bank accounts, update bank mandate as required.
•    Perform analysis related to FX, cash activities, bank loans, interest expense, bank fees.
•    Participate in Treasury related & automation projects. Support ad hoc projects & analysis when required.

•    Participate in Treasury Management System build up, setting, UAT, go live by end to end.

What We Are Looking For

  • Strong academic with a degree holder in finance/accounting, CPA preferably.
  • At least 5 years’ relevant experience in the Greater China treasury field gained from sizable MNC.
  • Solid experience in treasury operations, with foreign currency hedging, cash management & liquidity management experience & cash pool build up experience & bank mandate handling.
  • Knowledge in Oracle system. Experience in Treasury Management System and FXall are added advantage.
  • Hands on, self-starter and a team player.
  • Can do & positive attitude with good initiative and proactive. Look for improvement and enjoy challenges of working in fast-paced environment.
  • Strong communication skills, including English and Mandarin.
  • Good excel, PowerPoint, & analysis skills.

Location:

CN-Shanghai, China (Raffles City The Bund)

Time Type:

Full time

Job Category:

Accounting/Finance