Treasury Analyst

Huntsman International LLC

Kuala Lumpur, Malaysia
Daily cash forecasting
Bank account management
Asset-backed financing reporting
This role is responsible for handling Treasury processes, daily cash forecasting, bank account management and reporting required for asset‑backed financing

Job Summary

  • This role is responsible for handling Treasury processes, daily cash forecasting, bank account management and reporting required for asset‑backed financing.
  • The ideal candidate will be located in Kuala Lumpur, Malaysia and will perform daily cash forecasting and monitor the cash position.
  • Huntsman offers unsurpassed opportunities to build a successful future and is proud to be an equal opportunity workplace.

Matching Summary

This role is responsible for handling Treasury processes, daily cash forecasting, bank account management and reporting required for asset‑backed financing.

Skills & Requirements

Must-have

  • Daily cash forecasting
  • Bank account management
  • Asset-backed financing reporting
  • Accounts payable payment coordination
  • SOX compliance

Nice-to-have

  • Customer-service oriented
  • Work with diverse cultures
  • Independent work with minimal guidance
  • Respond efficiently to needs

Key Requirements

  • 2 to 4 years of experience
  • Degree in Accounting, Finance or equivalent
  • Prior shared service or accounting experience
  • English and Mandarin communication skills

Work Rights

Not specified

Tailored Resume

Cover Letter