About the company
A leading global industrial company, is seeking an experienced Treasury Manager to join their team. This is a strategic and impactful role responsible for managing the company's treasury operations and driving financial optimization.
Responsibilities
- Oversee all treasury functions including cash and liquidity management, foreign exchange, funding, banking relationships, and risk management, and hedging activities
- Develop and implement effective treasury policies, processes, and controls to enhance financial security and operational efficiency
- Manage the company's global cash flow, ensure optimal cash positioning, and maximize returns on surplus funds
- Monitor and mitigate foreign exchange, interest rate, and other financial risks
- Provide treasury insights and recommendations to support strategic decision-making
- Lead the treasury team and foster a high-performing, collaborative work environment
Requirements
- Bachelor's degree in Finance, Accounting, or a related field
- 6+ years of progressive experience in treasury management, preferably in a multinational corporation
- Strong understanding of treasury operations, banking, cash management, and risk management
- Highly proficient in using treasury management systems and financial software
- Fluent in Cantonese, English and Mandarin, with exceptional communication and interpersonal skills to collaborate with cross-functional teams
- Immediate availability is preferred
Application
If this above description fits your experience and is something you would like to explore, please click 'Apply Now' to submit your resume to us.
Our specialist consultant will get in touch with you soon, if we find your profile suitable for this position or any other vacancies we are recruiting for.
Any questions, please feel free to contact Krystal Ho at .