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Key Responsibilities:
. Provide expert advice to business units on trade finance structures, documentation, and solutions.
. Manage banking relationships and secure competitive pricing for FX and trade finance facilities.
. Work closely with business units to design and deliver innovative working capital and liquidity management solutions.
. Contribute to regional treasury transformation projects and the development of new financing strategies.
. Monitor and report on trade finance activities using treasury systems and dashboards.
. Maintain up-to-date knowledge of financial markets, interest rates, debt capital markets, and trade finance instruments (e.g., LCs).
. Apply strong analytical skills to financial data, leveraging advanced Excel and Power BI for reporting and insights.
. Drive process improvements through technology and systems enhancement across treasury operations.
Requirements:
. Degree in Finance, Accountancy, Business, or Economics CFA, CPA, or MBA preferred.
. Minimum 10 years of treasury experience, with exposure to front office functions such as FX, hedging, and banking relationship management.
. Strong knowledge of trade finance, capital markets, and treasury operations.
. Proven track record in stakeholder management at senior levels.
. Proficiency in financial modelling, data analysis, and use of reporting tools such as Power BI.
. A proactive, detail-oriented, and tech-savvy professional with the ability to thrive in a fast-paced global environment.
Please contact Brendan Low or email your CV directly in Word format to [Confidential Information]
KIndly note that due to the high number of applications, only shortlisted candidates will be contacted.
EA License: 16S8131
Recruiter License: R1104469
Date Posted: 27/08/2025
Job ID: 124908399