Degree in Accountancy/ Finance with at least 4 years of corporate treasury experience - ability to manage daily treasury operations and cash management as well as FX and loan management.
Proficient in Excel with strong quantitative skills
Ability to be hands-on and able to support systems and automation initiatives (able to help with process improvement)
Traits: Proactive, progressive, highly adaptable, hardworking, team player, results-driven, ability to work in a fast-paced environment