As part of PageGroup, Michael Page is a leading professional recruitment consultancy specialising in the recruitment of permanent, contract and temporary positions on behalf of the world's top employers. PageGroup operates through 155 offices in 35 countries worldwide. First established in London...
As part of PageGroup, Michael Page is a leading professional recruitment consultancy specialising in the recruitment of permanent, contract and temporary positions on behalf of the world's top employers. PageGroup operates through 155 offices in 35 countries worldwide. First established in London in 1976, we've been bringing jobseekers and employers together for more than 30 years. London listed, we opened our first Asian office in Hong Kong in 1994 and currently we have offices in all major business hubs across the APAC region, including Australia, Singapore, Tokyo, Malaysia, India, Taiwan, Shanghai, Beijing, Shenzhen, Guangzhou, Pudong and Suzhou.

So if you're looking to take your career to the next level, visit www.michaelpage.com.hk

Treasury Analyst - HK Listed Company

Job level Middle
Work exp No work experience
Education Bachelor Degree
Location
Within Hong Kong
Employment type Full Time
Industry Energy (Oil, Gas, Petroleum) / Resources / Waste Management
Job function Accounting > Treasury
Banking / Finance > Treasury
Accounting > Financial Analyst
Published On 13/01/2021
ref. 4166665/001_41178

A great opportunity with a well-established and sustainable company. This Treasury Analyst will be joining the Group Treasury team to perform treasury activities covering in areas of Foreign Exchange, Cash Management and Loan Monitoring.

Client Details

Our client is a well-established Hong Kong based company with expansion of businesses in other countries in the APAC region. They are looking for an analytical and energetic Treasury Officer with prior accounting experience to join their Hong Kong office.

Description

Reporting to the Treasury Supervisor, the successful candidate will be responsible for the following main duties:

  • Compile cash forecast and conduct variance analysis for funding and hedging purposes
  • Assist in derivatives/loan/investment arrangement and review relevant documentation
  • Arrange settlement and accounting for treasury transactions
  • Perform duties to meet bank loan and debt compliance requirements
  • Prepare bilingual treasury reports for management review and financial reporting
  • Participate in system development and enhancements
  • Undertake ad hoc assignments and analysis

Profile

  • Holder of university degree in a relevant discipline and/or professional qualification in finance (CFA) or accounting (HKICPA, CPA)
  • At least 3 years relevant working experience in treasury, finance or banking. Candidate with less experience will be considered for a junior position
  • Knowledge of treasury products, financial derivatives, bank lending and cash management practices
  • Fast learning, self-motivated, a good team player and able to work under pressure in meeting time schedules
  • Flexible and work well in a dynamic and multi-cultural environment
  • Proficient in Excel, Word, Access, PowerPoint; previous exposure to treasury system / SAP would be an advantage
  • Good command of both English and Chinese
  • Immediate availability is preferred

Job Offer

  • Excellent benefit package
  • 5-day work week
  • ORSO
  • Work life balance
  • Stable industry

To apply online please click the 'Apply' button below. For a confidential discussion about this role please contact Yannie Chu on +852 2258 3534.