This role is responsible for handling daily cash forecasting, bank account management, and reporting required for asset-backed financing
Job Summary
This role is responsible for handling daily cash forecasting, bank account management, and reporting required for asset-backed financing.
The ideal candidate will be located in Kuala Lumpur, Malaysia, and must possess strong written and verbal communication skills in both English and Mandarin.
Huntsman offers unsurpassed opportunities to build a successful future within a diverse portfolio spanning manufacturing, research, and technical services.
Matching Summary
This role is responsible for handling daily cash forecasting, bank account management, and reporting required for asset-backed financing.
Skills & Requirements
Must-have
Daily cash forecasting and monitoring
Bank account management across EAME and APAC
Asset-backed financing global reporting
Accounts payable payment coordination
SOX compliance and internal audit adherence
Nice-to-have
Familiarity with SAP treasury systems
Experience with Kyriba treasury platform
Ability to work independently with minimal guidance
Strong communication in English and Mandarin
Comfort working with diverse international cultures
Key Requirements
Degree in Accounting, Finance or equivalent field
2 to 4 years of relevant experience
Prior experience in shared service or accounting environment
Experience with cash forecasting and asset-backed financing reporting