As the Treasury Executive, you will be focus on cash management, managing of banks relationship, treasury process improvement and matters to ensure an accurate, complete, up-to-date records, timely and cost-effective function to meet the requirements of the various stakeholders to achieve the company’s objectives.
Job Description:
- Ensure timely analysis and reporting of various cash flow related matters for management reviews and decisions making.
- Support assistant manager in Loan drawdowns, limit utilization, coordinating to answer queries from bank, coordinate with group treasury, ensure of tracking forex line, coordinate documentation for bank.
- Support assistant manager in system automation and process improvement projects to enhance operational efficiency.
- Ensure compliance with all relevant internal procedures, regulatory requirements, etc.
- Any other ad-hoc tasks.
Qualification:
- Bachelor's degree in accounting, Finance, or a related field.
- A minimum of 3 years of experience in Treasury operations & forex exchange is preferred.
- Domain expertise in cash flow projection & analysis, loan documentations, bank covenants compliance, etc. will be an advantage.
- Detail oriented, hands-on personality with reasonable proficiency in Microsoft Excel/ERP system (Navision ERP).