Job ResponsibilitiesFunds Management: Responsible for managing the regional treasury center, including liquidity pool management, liquidity management, and foreign exchange operations for entities within the region.Regional Treasury Policies Build up: Responsible for formulating fund management policies applicable to the regional treasury center.Transaction Coordination: Responsible for reviewing intra-regional payment transactions and preparing fund-related reports.Regional Treasury System Build up: Responsible for coordinating with headquarters on regional treasury-related system/data requirements.Job RequirementsEducation & Background: Bachelor’s degree or above in Accounting, Auditing, Finance, or a related field.Experience: Minimum 4 years of experience in treasury/fund management; preference for candidates with experience in corporate groups or multinational banks.Skills & Competencies:Strong analytical and logical thinking, with the ability to learn quickly.Excellent communication and problem‑solving skills, with a focus on efficiency.Team-oriented mindset with a collaborative approach.Language Requirements: Proficiency in English and Chinese for business operations. Knowledge of Arabic is a plus.
#J-18808-Ljbffr