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- Responsible for cash management, bank loan management and compliance
- Supporting hedging / execution strategies for foreign exchange and interest rate
- Responsible for bank account opening, closing and maintenance and banking approvals
- Assisting in loans and borrowings
- Working closely with Accounting team and Regional stakeholders
- 2 to 4 years doing Treasury or Corporate Finance. Candidates with experience working in an MNC are invited to apply!
- Basic Accounting knowledge
- Excellent skills in Excel and PowerPoint
- Experience with SAP and Bloomberg terminal preferable.
- Prepare your updated resume (please include your current salary package with a full breakdown such as base, incentives, annual wage supplement, etc.) and the expected package.
- Apply through this application in MS Word Copy. We'd love to hear from you!
- We regret that only shortlisted candidates will be notified.
Direct Line: 86662195
EA License No: 91C2918
Personnel Registration Number: R22104532