You will be responsible for covering foreign exchange and interest rate exposure management, trade & commodity financing, international cash & cashflow project management, managing banking relationship, funding and bank facilities & documentation negotiations, and other treasury related matters.
Our client is a leading company in its field. Due to dynamic business growth, they are looking to recruit a Treasury Manager to be part of their integral team. You will be responsible for covering foreign exchange and interest rate exposure management, trade & commodity financing, international cash & cashflow project management, managing banking relationship, funding and bank facilities & documentation negotiations, and other treasury related matters. You will work closely with different operating businesses and dynamic trading environments.
Ideally, you are a qualified professional with degree in Finance/Accounting. You have at least 5 to10 years experience in Treasury & Trade/Commodity Finance/Structured Finance, with regional experience. Experience in credit and commodity derivatives would be helpful. You are energetic, enthusiastic with strong analytical and problem-solving skills. You possess a high degree of integrity, trustworthiness and maturity.