Key Responsibilities:
Provide expert advice to business units on trade finance structures, documentation, and solutions.
Manage banking relationships and secure competitive pricing for FX and trade finance facilities.
Work closely with business units to design and deliver innovative working capital and liquidity management solutions.
Contribute to regional treasury transformation projects and the development of new financing strategies.
Monitor and report on trade finance activities using treasury systems and dashboards.
Maintain up-to-date knowledge of financial markets, interest rates, debt capital markets, and trade finance instruments (e.g., LCs).
Apply strong analytical skills to financial data, leveraging advanced Excel and Power BI for reporting and insights.
Drive process improvements through technology and systems enhancement across treasury operations.
Requirements:
Degree in Finance, Accountancy, Business, or Economics; CFA, CPA, or MBA preferred.
Minimum 10 years of treasury experience, with exposure to front office functions such as FX, hedging, and banking relationship management.
Strong knowledge of trade finance, capital markets, and treasury operations.
Proven track record in stakeholder management at senior levels.
Proficiency in financial modelling, data analysis, and use of reporting tools such as Power BI.
A proactive, detail-oriented, and tech-savvy professional with the ability to thrive in a fast-paced global environment.
Please contact Brendan Low or email your CV directly in Word format to brendan@theedgepartnership.com
KIndly note that due to the high number of applications, only shortlisted candidates will be contacted.
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