- Global treasury middle‑office role supporting APAC entities
- Strong learning platform with exposure to treasury operations, systems and M&A
About Our Client
Our client is a well‑established global industrial and technology group with a strong engineering heritage and operations spanning Europe, Asia‑Pacific and the Americas. The organisation supports a diverse portfolio of manufacturing, engineering and service businesses, operating through multiple legal entities across key international markets.
Job Description
- Managing treasury data, transactions and structures within the Treasury Management System (TMS) and ERP environment
- Reviewing treasury‑related legal and banking documents (banking agreements, KYC, guarantees, board resolutions, CRS/FATCA) and highlighting key risks or issues
- Coordinating global bank account management, including openings, closures, mandates and signatory updates across multiple entities
- Supporting bank guarantee applications and maintaining complete, compliant documentation
- Maintaining authorised signatory lists and ensuring timely updates with banks and e‑banking platforms
- Supporting M&A activities, including onboarding new entities into treasury systems and managing separations where required
- Identifying opportunities to improve, automate and digitalise treasury and documentation processes
The Successful Applicant
- Degree in Accounting, Finance, Business, Commerce or related disciplines
- Strong attention to detail and ability to manage documentation
- Proactive, organised and comfortable working in a lean, fast‑paced global environment
What's on Offer
- Exposure to global treasury operations and multiple APAC markets
- Occasional regional or overseas travel depending on projects and business needs
Contact:
Quote job ref: JN-042026-6994334