Treasury Manager ( Jakarta ) recruitment
You will be tasked with a variety of duties including:
Handling the Cash Flow projections and working Capital management for the operation, Execution of FX and IR hedging transactions,preparation of Treasury Reports, Trade and commodity financing, monitor and cover FX exposure and accurate execution of daily banking transactions.
You will need to be fully, professionally qualified ( CPA, ACCA ) and have at least 5-8 years exp. working within a Treasury Department ( Ideally heading it up ). Strong Foreign exchange skills/experience and experience within credit and commodity derivatives would be hugely helpful.
Proactive, organised and methodical will be your approach and this, along with the above criteria will be rewarded with an excellent overall package and offering.
only successful candidates will be contacted.