Exciting Role with MNC for Regional Treasury Managers! Your new company Group of companies with outreach in markets across APAC and EMEA Your new role The position is an exciting opportunity to lead the Treasury Function for APAC and EMEA markets! You will be in charge of managing and reporting on all treasury related activities of the Group. This includes: Manage cash flow for the group - cash flow forecasting, consolidation, review of excess funds and existing arrangements with banks on facilities and loans Responsibile for Group level policies, advise on risk management strategies and improvement on existing processes Align with finance teams across markets on all treasury reporting activities What you\'ll need to succeed Relevant Degree in Finance, Accounting, Banking 8 Years of Experience in Corporate Treasury or Shared Service Function Able to manage and communicate well to various stakeholders such as senior finance team members, bankers, etc Exposure to a Regional Treasury Set Up Strong experience in cash flow forecasting, management and reporting What you need to do now If you\'re interested in this role, click \'apply now\' to forward an up-to-date copy of your CV, or call us now. If this job isn\'t quite right for you, but you are looking for a new position, please contact us for a confidential discussion on your career. #1255028
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