- Operates in 20+ markets with focus on finance and transformation.
- Oversees treasury, cash flow, FX risk, and system implementation.
About Our Client
The employer is a well-established organisation within the industrial and manufacturing sector. With a significant presence in the market, they focus on delivering high-quality products and services while maintaining strong financial practices.
Job Description
- Manage global cash flow and ensure visibility across all regions.
- Maintain weekly rolling cash forecasts to support liquidity planning.
- Implement treasury systems and improve operational efficiency.
- Monitor FX and interest rate risks; apply structured hedging strategies.
- Collaborate with external advisors on financing and risk mitigation.
- Build strong banking relationships and ensure regulatory compliance.
- Coordinate with internal teams and external partners across regions.
- Lead treasury-related functions including AR, AP, and credit control.
- Support finance transformation and shared service center setup.
- Guide a geographically dispersed team toward process improvement.
The Successful Applicant
A successful Treasury (Senior) Manager should have:
- A degree in accounting, finance, or a related field.
- Strong knowledge of treasury operations and financial planning.
- Experience in the industrial and manufacturing industry is an advantage.
- Proficiency in financial analysis and cash flow management.
- Excellent communication and stakeholder management skills.
- Ability to work independently and lead a team effectively.
What's on Offer
- Comprehensive benefits, including holiday leave and performance bonuses.
- Opportunities for career growth within the industrial and manufacturing sector.
- A permanent role based in Kwun Tong with a supportive and professional work environment.
If you are ready to take the next step in your career as a Treasury (Senior) Manager, we encourage you to apply today
Contact: Emma Li
Quote job ref: JN