Job Description
- Build up regional treasury management structure covering south-east countries.
- Responsile for offshore entities' liquidity\cash management, overall treasury work planning and policy formulation, process optimization, etc.
- Coordinate with in-country Finance teams to implement specific local treasury responsibilities and operations, and have strong sense of local governance.
- Work with HQ treasury team to facilitate overseas M&A integration and further treasury management post acquisition.
- Work closely with business partners/function partners and any other stakeholders and deliver professional treasury solutions.
Job requirements
- At least 8 years above related experiences in global bank and /or multi-national company treasury field. Expertise in finance or economics, CPA or CFA charter holder is a plus.
- Well understand offshore regulations and international practices, have good sense of market information.
- Quick learner. Excellent analytical communication and interpersonal skills with ability to embrace & drive change with different functions; can carry hands-on responsibilities, and plan and execute effectively.
- Have strong ethics and integrity; can embrace corporate culture and change; committed; have strong team work spirit.
- Passionate on internet industry with entrepreneurship spirit; can take on challenges under pressure. Travel or relocation flexibility can be required if needed.
- Good command of both Chinese and English. Experience in running project management is preferred