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ASSISTANT MANAGER MANAGER CORPORATE FINANCE TREASURY
drjobs ASSISTANT MANAGER MANAGER CORPORATE FINANCE TREASURY English

ASSISTANT MANAGER MANAGER CORPORATE FINANCE TREASURY

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1 وظيفة شاغرة
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الخبرة

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5سنوات

موقع الوظيفة

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Kuala Lumpur - ماليزيا

الراتب الشهري

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لم يكشف

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عدد الوظائف الشاغرة

1 وظيفة شاغرة

الوصف الوظيفي

رقم الوظيفة : 2669937
Main Responsibilities
Play a key role in managing the companys liquidity capital structure capital markets transactions and treasury reporting and forecasting. The position is highly visible requiring an understanding of the business as well as effective communication to manage a broad range of internal external relationships. Evaluate develop and implement cash management systems to optimize efficiencies

JOB DESCRIPTION
  • To ensure timely submission of monthly financial and management reporting financial performance analysis budgeting forecasting and managing cash flow requirement;
  • To be responsible for the readiness of business performance quarterly/monthly review reports for presentation to the board and the management;
  • To manage cash flow planning for monthly quarterly and yearly and forecast short term and longterm cash requirements
  • Develop and implement risk management strategies to protect the company s financial assets
  • To be responsible for the full spectrum of treasury management from cash management bank account administration loan treasury operations treasury documentation and compliance;
  • To oversee cash and liquidity needs negotiate with bank for the best interest rate for cash optimization and/or efficient management of treasury transactions;
  • To develop and implement cash management strategies to optimize cash flow and liquidity
  • To assist in ad hoc assignments (s) or special project(s) assigned to him/her from time to time;
  • To liaise with external partners including banks financial institutions and service providers to negotiate terms and optimize services.
  • To assist the Chief Financial Officer in areas such as internal control and regulatory compliance issues.

Requirements

  • Minimum 25 years relevant postgraduate experience with experience in managerial capacity;
  • Professional accountancy ACCACPA or MIA
  • Proven experience in treasury management roles preferably in a corporate environment
  • Proficiency in financial analysis cash flow forecasting and treasury operations
  • Proficient in Microsoft Office such as ExcelPowerPoint and accounting system
  • Possesses excellent analytical communication and interpersonal skills;
  • Proficient in English (verbal and writing);
  • Committed selfdriven independent strong team player and with sense of urgency
  • Able to work independently and flexibly in a dynamic environment.
  • Knowledge on banking regulation bank products and services (various types of deposit loan financial instrument)

نوع التوظيف

دوام كامل

نبذة عن الشركة

الإبلاغ عن هذه الوظيفة
إخلاء المسؤولية: د.جوب هو مجرد منصة تربط بين الباحثين عن عمل وأصحاب العمل. ننصح المتقدمين بإجراء بحث مستقل خاص بهم في أوراق اعتماد صاحب العمل المحتمل. نحن نحرص على ألا يتم طلب أي مدفوعات مالية من قبل عملائنا، وبالتالي فإننا ننصح بعدم مشاركة أي معلومات شخصية أو متعلقة بالحسابات المصرفية مع أي طرف ثالث. إذا كنت تشك في وقوع أي احتيال أو سوء تصرف، فيرجى التواصل معنا من خلال تعبئة النموذج الموجود على الصفحة اتصل بنا