Our client, a distinguished financial institution. They are looking for a high-caliber candidate to join their team.
Key Responsibilities:
Assist in managing daily cash positions and liquidity management.
Execute daily cash positioning, funding, and cash flow forecasting.
Monitor and analyze banking activities to ensure accuracy and compliance.
Support treasury operations, including wire transfers, investments, and bank account administration.
Collaborate with internal teams to optimize cash management processes.
Assist in developing and implementing treasury policies and procedures.
Qualifications:
Bachelor's degree in Finance, Accounting, or related field.
3+ years of experience in treasury operations or related financial roles.
Strong understanding of cash management principles and financial markets.
Proficiency in Microsoft Excel and financial software.
Excellent analytical and problem-solving skills.
Detail-oriented with strong organizational abilities.
Effective communication and interpersonal skills.
Interested parties please send your detailed resume including current & expected salary and availability to contact@futuruscareerhk.com.
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(Applicants not invited for interviews within 4 weeks may consider their applications unsuccessful.)