Treasury Manager

Our client is a reputable asset management Company with a sizeable AUM and multiple legal entities in Asia Pacific. To support business expansion, they are now seeking a Treasury Manager to join their Treasury team.

Reporting to the Head of Treasury, you will be responsible for monitoring global FX markets and review the Company’s foreign exchange risk profile. You will also interface with investment teams to provide treasury assumptions for project appraisals and hedging strategies. You will also be providing monthly FX outlook and prepare quarterly FX review with senior management. You will also work with the accounting team for accounting of the treasury derivatives instruments. As the treasury manager, you will also be managing the FX relationships with the banks. You will also work with asset management companies to monitor and invest in MM/ short term fixed income funds. Other responsibilities include managing the daily cash flow, funding, FX requirements and money market placements for the Group. This is an individual contributor role.

You will be a degree qualified in Accountancy/ Finance/ Business/ Banking, with more than 8 years of post- graduate experience in a large corporate or banking. Prior fund management/ bank FX sales/ Debt capital markets experience will be a plus.  You will possess excellent interpersonal, business communications and presentation skills. You will also be a strong team player with an ability to work independently.

To apply, please submit your resume to Ailing Huang at ah@kerryconsulting.com, quoting the job title and reference number AH 5887A. We regret that only successfully shortlisted applicants will be contacted.

Licence No: 03C4828

Registration no: R1104181

November 15, 2013 • Tags:  • Posted in: Financial

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