Location:Petaling Jaya - , ,Salary:CompetitiveType:PermanentMain Industry:Advertiser:Job ID:130975273Posted On:18 August 2024Why are we proud of what we do at allnex? We create coatings, products which help protect the world for all nex-t generations \xe2\x80\x93 and that\xe2\x80\x99s exactly what you can do joining us!Imagine how fast your smartphone would become scratched-up, ugly and unusable without a coating. Or an e-bike, the cabin of a train, a beautiful wooden floor, and countless other things in life.Making objects and their surfaces more attractive and longer-lasting means making them more sustainable, and that\xe2\x80\x99s a huge part of what working at allnex is about. No matter which role you step into, you\xe2\x80\x99ll become part of a global team of passionate people who care deeply about the chemistry, quality, and global impact of coatings.You\xe2\x80\x99ll also join a highly multicultural and diverse team of more than 4,000 employees in four regions who \xe2\x80\x93 as part of one of the world\xe2\x80\x99s leading coating resins companies \xe2\x80\x93 serve customers in over 100 countries across the globe.Click here to learn more about how we can make an impact together!
For a sneak peek into life at allnex, don\xe2\x80\x99t miss our Operator Movie!Position overviewWe are looking for a detail-oriented, independent, and organised colleague to join our Treasury team as a Treasury Analyst. This role is a 2-year contract position based in our GBS office in Petaling Jaya, Malaysia. The individual will participate in the weekly and monthly cash flow forecast consolidation and perform variance analysis, be in charge of preparing various Treasury reports and support Group Treasury in day-to-day tasks.If this role sounds exciting, please view the job description below and apply now!Responsibilities
-Support Treasury team in day-to-day tasks including settlement and reconciliation of Treasury transactions;
-Participate in Cash and liquidity management of the Group;
-Prepare and distribute Cash Pool reports to involved parties (Treasury, Accounting, Finance controllers);
-Prepare Treasury accounting reports (e.g. monthly accruals, MtM);
-Weekly and monthly cash flow forecast consolidation and variance analysis, investigation of the differences and process improvements;
-Support Treasury and GBS projects (e.g. system changes, implementations, etc.)Required skills and experience
-2-3 years of experience in a Financial/Analytical role. Experience in Treasury is preferred
-Strong analytical skills
-Open to operate in a flexible schedule when demand is high
-Solid understanding in Microsoft Excel
-Knowledge in IT2 is preferred
-Ability to work independently
-Awareness of financial markets, interest in market news and trendsQualifications
-Bachelor\'s Degree in Finance and AccountingWe offer
We are proud to offer an international working experience with a tight-knit network of employees, making it easy to connect and learn from people all across our different functions. On top of that we are a truly innovative company with a strong team spirit, openness to new ideas, and great opportunities to grow and develop your career.Equal Employment Opportunity
allnex is proud to be an equal opportunity employer. We celebrate diversity and are committed to an environment where all colleagues contribute for the benefit of our employees, our products, and our communities.Find out how you can make an impact!
Check out our careers page for available opportunities. We look forward to hearing from you.allnex
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