Assist in the planning of funding plan in line with company\'s Financial Services funding/risk management policy.
Assist in the preparation of funding plan forecast, develop financial models & analysis to support strategic initiatives.
Prepare treasury market/forecast expectation, analyze financial data/market movement to identify trends and areas for reduction in cost of funds or revenue enhancement.
Assist in setting up bond program, study and recommend on asset back securitization, capital structure, Sustainability & Green loans and new financing products.
Build/maintain relationships with bankers/related business partners and assist in ad-hoc projects.
Perform ad-hoc assignments/projects assigned by superior/HOD as and when required.
Job Requirements
Degree in Accounting/Finance, Professional Qualification/ACCA preferred.
Minimum 5 years of working experience in Treasury or Finance.
Additional advantage if the applicant is MIA member.
Knowledge in Banking industry and financial analysis is preferred.
Good communication in English and Bahasa Malaysia, both written and spoken
Please send your updated CV to if the role is relevant to your experience.Due to the volume of applications, we regret to inform that only shortlisted candidates will be notified.