Senior Treasury Specialist
Petaling Jaya - Malaysia
Job Summary
Cash & Liquidity Management
Own daily corporate liquidity positions and drive the monthly/rolling cash flow forecasting process.
Analyze forecast-to-actual variances meticulously to improve model accuracy and advise senior management on long-term liquidity strategies.
Oversee complex bank reconciliations and resolve critical discrepancies.
Banking & Financial Operations
Structure and manage corporate finance transactions (Bank Guarantees Bankers Acceptances and new/existing credit facilities).
Actively maintain relationship management with banks; negotiate competitive credit facilities pricing and ensure strict compliance with loan covenants.
Formulate and execute FX hedging strategies; lead currency exposure identification activities to mitigate market risk.
Liaise with internal and external stakeholders to ensure smooth day-to-day treasury operations.
Reporting & Analysis
Deliver highly analytical financial reports cash flow dashboards and GRC reporting for executive decision-making.
Partner with stakeholders to align treasury forecasts with annual budgeting processes.
Review and optimize bank fee structures interest yields and transactional costs.
Compliance
Ensure absolute adherence to internal controls treasury policies and local/international regulatory requirements.
Serve as the primary treasury liaison for internal and external audits; maintain pristine audit schedules
Own the regular review preparation and formal registration of Treasury SOPs in POMs.
Improvement projects and Finances activities
Lead finance and treasury transformation projects system enhancements (e.g. SAP/TMS upgrades) and process automation to drive efficiency.
Continuously strive to simplify for an efficient Treasury function in term of system enhancements and process improvements.
Qualifications :
Required Experience
- Bachelors Degree in Finance Accounting Banking or equivalent. Professional qualifications (e.g. ACCA CIMA CFA or ACT/Treasury certifications) are highly advantageous.
- 5 to 7 years of relevant work experience in relevant field experience in using SAP
- Demonstrated experience leading or playing a core role in treasury transformation automation projects or system implementations.
- Meticulous attention to detail with zero tolerance for operational error. Self-driven individual capable of driving projects independently and mentoring junior team members.
- Prior exposure working within an MNC or a large corporate environment with cross-border transactions.
Additional Information :
Competencies
- Advanced Treasury & Financial Instruments: Deep expertise in cash management FX related and regulatory environments.
- Rigorous Analytical Mindset: Strong capability to dissect complex financial data identify trends and build scenario-based financial models.
- Systems & Tech-Savviness: Advanced proficiency in SAP (Treasury modules preferred) and MS Excel (advanced modeling)
- Stakeholder Management: Proven ability to influence external banking partners and present clear simplified financial narratives to C-suite executives.
- Project Management: Track record of driving process optimization automation and Treasury SOP governance.
Ready to drive with Continental Take the first step and fill in the online application.
Remote Work :
No
Employment Type :
Full-time
About Company
Continental develops pioneering technologies and services for sustainable and connected mobility of people and their goods. Founded in 1871, the technology company offers safe, efficient, intelligent and affordable solutions for vehicles, machines, traffic and transportation. In 2019, ... View more