At least 12 years of Corporate Treasury experience in a Multinational environment and well-rounded treasury experience in foreign exchange, cash, debt, trade and capital market.
Well verse in Foreign Exchange Administration Rules, adhere and ensure internal and external compliance on policy, statutory and legal requirements.
Good in negotiating, maintaining banking relationship and have good net working with bankers.
Responsibilities
Overseeing Corporate Finances and Investment Strategies.
Manage cash flow, liquidity, and investment decisions to optimize financial resources
Managing Financial Risks and Opportunities.
Assess and mitigate risks related to currency fluctuations, interest rates, and market volatility.
Optimizing Cash Flow and Liquidity.
Ensure sufficient funds are available for daily operations and future needs.
Monitoring, identifying, recommending and implementing transformation/continuous improvement opportunities in areas of management, operation, internal control and process.
BenefitsThe company offering 5 days/week. Opportunity to work with one of the well known companies.Important InformationNever provide your bank or credit card details when applying for jobs. Do not transfer any money or complete unrelated online surveys. If you see something suspicious, Report This Job ad.
Ricebowl
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