About the Company:
Strong branding in the market with a strong corporate culture. This high growth technology firm has been growing in the last few years. Constantly innovating to meet the needs of their customers, they have been gaining market share quickly. Currently, they are looking for a strong Treasury Director to strengthen their team.
About the Role:
In this role, you will manage a treasury team in Singapore. You will play a pivotal role in overseeing global cash management, optimizing capital income while ensuring the security and sufficiency of funds. Your responsibilities will include managing global exchange rate and interest rate risks for the organization, as well as formulating and implementing comprehensive foreign exchange risk management strategies. You will contribute to the mission of inspiring creativity and enriching lives on a global scale.
Skills and Experience Needed:
You should ideally have a keen understanding of capital liquidation and transfer regulations, coupled with expertise in corporate accounting, taxation, and regulatory policies. You exhibit familiarity with various foreign exchange trading and risk hedging tools, demonstrating proficiency in investment and financial management protocols, formats, and risk mitigation strategies. You bring a wealth of experience, with 8 or more years in global financial institutions or large corporate finance enterprises, particularly in treasury management. Prior experience doing treasury in the technology industry will come as a strong advantage for this role. We value excellent communication, coordination, and execution skills, complemented by strong judgment, strategic planning abilities, and a proactive attitude. You should demonstrate an ownership mentality, a strong sense of responsibility, and a collaborative spirit conducive to effective teamwork. You have a passion for continuous learning, self-motivation, and an innovative mindset.
To apply online please use the 'apply' function (EA: 94C3609/ R1439933 )
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