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Reporting
- Direct to Regional Treasury Manager in Singapore and matrix to local finance manager
- This role is responsible for treasury matters in Korea with assisting the treasury manager in APAC.
- The role includes day-to-day treasury operation review, implementing process & treasury policy to be compliant with company treasury policy and statutory requirement and bank relationship.
- The treasury manger will lead funding plan, bank exposure and daily cash status, liquidity ratio reports & cash flow budget.
- The manager will lead treasury related project for 3 legal entities in Korea.
- Focus is on resolution of complex problems or transactions within a functional unit of the Treasury department. Able to work on projects and tasks independently.
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- Minimum 10 years of experiences.
- Financial and Strategic Acumen: Accomplished finance individual with strong knowledge of Industry, local regulatory. Able to collaborate across functions and can communicate well with others. Ability to explain complex financial information to non-financial colleagues.
- Managerial Leadership: Able to work cohesively in a matrix structure managing experienced senior finance managers. Able to manage and work with local regulatory authorities.
- Technical Skills : Good understanding of cash flow budget, bank exposure, and local regulatory requirements including FX regulation
- Bachelor's Degree in Finance or Accounting Good in MS Office Program i.e. excel, word and power point
- Experience of engaging with senior management level and working level.
- Fluent in English
- Proven knowledge and understanding of the local country regulatory framework and requirements
- Ability to explain complex financial information to non-financial colleagues
- Prior work experience working within an onshore-offshore model is preferred Experience of engaging with senior management level
- Experience of working in financial services environment, preferably insurance
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