Regional Treasury Manager (US MNC, newly created role) recruitment
Our client is a US listed MNC and a market leader in its field. They have been experiencing good growth globally and continues to expand organically and through acquisitions.
Reporting to the Corporate Treasurer, this position will be involved in building up the corporate treasury function. You will be involved in managing the company's financial markets risk, such as Foreign exchange and interest rates exposures. You will be involved in developing the FX hedging program and establish internal hedging policy on FX and interest rate exposures.
You will also be involved in fund raising activities through the debt and capital markets, as the company seeks to grow organically and through acquisitions. You will also be involved in looking at cash managment and liquidity management for the Group.
Ideally, you are degree qualified with at least 8 year's experience in a regional treasury role. You have good experience in FX management as well as liquidity management. You are hands on, analytical and have an eye for details. You have good experience in managing projects and are a good team player.
This is an exciting opportunity to be part of a growing treasury function for a dynamic US MNC.
Singapore Employment Agency Licence No: 07C2942