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 Manager

Job level Senior
Work exp Minimum 8 Years
Education Bachelor Degree
Location Hong Kong
Employment type Full Time
Industry Accounting / Audit / Taxation
Job function Accounting > Accounting / Finance Manager
Banking / Finance > Treasury
Banking / Finance > Fund Management / Hedge Fund
Published On 15/10/2017
ref. 3954025/001_58952
The candidate will be the treasury counterpart for the group in Asia Pacific region and business partner with global banks.

Client Details

Our client is a renonwed European conglomerate with global presence.

Description
  • Treasury consulting: advise and guide Asia/Pacific group entities on currency and interest rate risk management and hedging options, arrange/support financing and investments, conduct respective training for currency manager, support/manage M&A integration/ divestment projects

  • Financial Market guidance/execution: advise group entities on Asia/Pacific country regulations for treasury transactions, exclusive trading partner for intragroup FX, money market and derivative deals
  • Liquidity management: Consolidate cash and liquidity forecasts, check plausibility, optimize and manage liquidity levels
  • Bank Partner/ Account/ Payment Management: align bank partner strategy, evaluate bank account and bank line setup, execute bank account related governance






Profile
  • Related bachelor degree holder with at least 8-10 years of working experience in a large MNC or bank

  • Highly analytical, open minded personality with excellent presentation and communication skills and experienced in an international work environment with respective intercultural sensitivity
  • Solid foundation on Foreign Exchange/ Money Market/ Derivatives products, Risk management, Financial Market regulations (preferable in Asia/Pacific countries),external & internal compliance/ Risk and Control system
  • Familiarity with Risk Management Systems/ Cash Management Systems


Job Offer

Exciting opportunity to join a well-established treasury platform. MNC working culture and team based environment.

To apply online please click the Apply button below. For a confidential discussion about this role please contact Hilary Choy on +852 2848 9570