Corporate Treasury ManagerID:53113

6,000 MYR ~ 12,000 MYRGeorgetownOver 3 months ago

Overview

  • Salary

    6,000 MYR ~ 12,000 MYR

  • Industry

    Manufacturing(Machinery)

  • Job Description

    This role carries the responsibilities of the Group treasury initiatives including but not limited to the following--cash management, coordinated/planned funding activities for scale and efficiency, free cash flows, support working capital management, group treasury policy, financial risk management, and to support any fund raising/treasury initiatives.

    KEY RESPONSIBILITIES
    • Key accountabilities will include developing and implementing all Treasury policies, work processes and solutions to ensure adequate level of controls over treasury activities.
    • Managing a broad range of Treasury functions which include cash management, fund management, supporting day-to-day treasury operations, bank facilities and loan agreements, foreign exchange hedging activities and monitoring interest rate movement.
    • Review cash flow position and determine the liquidity needs of the company/group to ensure that sufficient funds are available to meet ongoing operational and capital investment requirements.
    • Perform due diligence for treasury and investment activities with analysis of risk-return profile of investments and new investment opportunities.
    • Monitor and manage solvency risk and advise management on the liquidity positions of its short- and long-range planning for the group.
    • Work with the Management to analyze key value enhancing initiatives at company/group level. Ensure accurate analysis of all business-related data in order to meet the business needs of the organization, including specific strategies, technologies, and markets through
    the development of financial models, tracking databases, risk analysis and mitigation tools.
    • Actively participate and support the development of standard operating procedures/ guidelines for the local operations in areas of treasury/investment activities and risk management practices/policies.
    • Support the management on any other assignments or special projects as they arise

Qualifications

  • Requirement

    - Education Background : Masters / Bachelor’s Degree in Finance / Accounting or other analytical courses such as Engineering
    - Experience :Minimal 8 years treasury & finance analyst working experiences Preferably with at least 3 years of demonstrated managerial experience.
    - Require Skill :
    1. Preferably qualified CFA / Accountant.
    2. Prior treasury system (e.g. Reval) knowledge and experience is an advantage.

  • English Level

    -

  • Other Language

    Mandarin, English

Additional Information

  • Benefit

    - Salary Structure:
    Senior level - RM6k - 9k
    Manager level - RM9k - 12k
    - Fixed Monthly Allowances RM380
    - Frencken will have bonus of 1-6 months depending on performance, as well as increment.
    - there is no contractual bonus.

  • Working Hour

    8.00am ~ 5.00pm

  • Holiday

    Sat and Sun

  • Job Function