Job description for Senior Treasury Executive at GuocoLand
This role involves supporting the Group's treasury function across cash management, liquidity planning, debt portfolio monitoring, and financing activities. You will assist in the evaluation and implementation of hedging strategies, support Treasury Management System projects, coordinate with subsidiaries on treasury matters, and prepare treasury reports and analyses.
Key responsibilities
Assist in the management of the Group's daily cash position, liquidity planning, and funding requirements, including liaising with banks on settlements, bank account administration, and related treasury matters.
Monitor the Group's debt portfolio, bank facilities utilisation, compliance with loan covenants, and financing arrangements.
Support treasury funding activities, including funding comparisons, bank loan refinancing, new financing facilities, debt capital market transactions, and preparation of financing documentation.
Assist in the evaluation, implementation, execution, monitoring, and reporting of interest rate and foreign exchange hedging strategies.
Support Treasury Management System (TMS) enhancement and implementation projects, including user testing, data migration, process documentation, and stakeholder coordination.
At least 5 years of relevant experience in corporate treasury, banking, corporate finance, financial risk management, or related finance functions.
Experience supporting financing transactions, loan documentation, debt capital market activities, hedging, or banking relationships would be advantageous.
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