Regional resource in APAC region that ensures adequate cash and risk management as well as financing coverage for TRINITY entities located in APAC
- Manage regional cash flow and liquidity to ensure adequate funding for entities in the APAC region
- Oversee financial risk management including currency and interest rate exposure in alignment with global policies
- Coordinate and implement financing solutions for regional entities including intercompany loans and external funding
- Monitor and optimize regional cash pooling and banking structures to enhance efficiency
- Ensure compliance with corporate treasury policies and local regulatory requirements
- Act as a liaison between regional entities and global treasury teams to align on strategy and processes
- Provide guidance and support to operational units on cash management and financial risk matters
Qualifications :
- Degree in Finance Business Administration Economics or a related field
- Minimum of 5 years of experience in treasury or finance preferably in an international or regional capacity
- Strong expertise in cash flow management liquidity planning and financial risk mitigation
- Proven experience with financing solutions including intercompany loans and external funding strategies
- Solid understanding of regional banking structures cash pooling and compliance with local regulations
- Proficiency in treasury systems and tools with a focus on process optimization and efficiency
Remote Work :
No
Employment Type :
Fulltime