Offer summary
Qualifications:
Bachelor’s degree in a related field, 8-10 years of relevant experience, Experience in global banking operations, Proven self-starter with learning mentality, Ability to work across cultures.
Key responsabilities:
- Maintain cash flow forecasting for Asia Region
- Analyze foreign exchange risk and execute hedging strategies
- Manage intercompany settlements for international offices
- Evaluate investment opportunities for excess cash
- Coach and oversee other treasury professionals