This Group Treasury role supports multiple entities across the Aster Group, requiring both a consolidated perspective and entity-specific execution
Job Summary
This Group Treasury role supports multiple entities across the Aster Group, requiring both a consolidated perspective and entity-specific execution.
The position involves managing group-wide liquidity, executing funding activities, and monitoring market risks including FX and interest rate exposures.
Candidates must be comfortable operating in a lean, opportunity-driven environment with evolving priorities while managing precious metals exposures.
Matching Summary
This Group Treasury role supports multiple entities across the Aster Group, requiring both a consolidated perspective and entity-specific execution.
Skills & Requirements
Must-have
8+ years treasury experience
Liquidity and cash flow forecasting
Funding and refinancing execution
FX and interest rate risk management
Bank relationship and counterparty management
Nice-to-have
Experience with structured investment products
Precious metals leasing and trading knowledge
Ability to work in lean dynamic environments
Cross-border treasury coordination skills
Strong stakeholder management capabilities
Key Requirements
Minimum 8 years of relevant treasury experience
Degree in Finance, Accounting, Business, or related discipline
Hands-on experience in large corporates, energy, or commodities sectors