This role involves overseeing all treasury activities including cash management, effective financing strategies, and robust risk control across the region
Job Summary
This role involves overseeing all treasury activities including cash management, effective financing strategies, and robust risk control across the region.
The successful candidate will evaluate cost of capital, analyze macroeconomic trends, and support M&A activities from a treasury perspective.
Candidates must have strong analytical skills and experience in foreign currency exposure analysis to minimize financial risks.
Matching Summary
Match Score: 75
This role involves overseeing all treasury activities including cash management, effective financing strategies, and robust risk control across the region.
Skills & Requirements
Must-have
8+ years treasury experience
Cash flow positioning and forecasting
Foreign exchange hedging strategies
Banking relationship management
Regional financing structures
Nice-to-have
CPA or CFA designation preferred
Multi-cultural work exposure
Prior banking industry experience
Willingness to travel overseas
Self-motivated and cost-conscious
Key Requirements
Bachelor's degree in Finance or related field
Minimum 8 years relevant treasury experience
Strong knowledge of financial and accounting concepts