Our client is a local conglomerate looking for a highly skilled Treasury Assistant Manager to join their team and perform the day-to-day operations of the treasury and investment functions.
Responsibilities:
* Manage daily treasury and investment operations, ensuring efficient and effective processes.
* Perform the administration of significant capital grants, ensuring compliance with risk control measures.
* Provide support to the management in treasury and investment management activities.
* Manage the internal investment portfolio, making strategic decisions to optimize returns.
* Perform cash management duties, ensuring proper liquidity management and cash flow forecasting.
* Identify areas for improvement and develop internal policies, guidelines, or procedures to enhance treasury operations.
* Supervise and provide guidance to subordinates, fostering a collaborative and high-performing team environment.
Requirements:
* A recognized degree in Accounting, Finance, or a related discipline.
* Possession of a professional accounting qualification, preferably having passed Level 1 of the Chartered Financial Analyst examination or an equivalent certification.
* At least 5-6 years of solid experience in treasury management.
* Ability to work independently and effectively under pressure, meeting deadlines and delivering high-quality results.
* Possess a positive can-do attitude and demonstrate responsibility and collaboration in work assignments.
* Strong organizational skills with proven leadership acumen.
* Excellent command of both written and spoken English and Chinese.
If you are interested in this role, please click "APPLY" or send your updated CV to me at
[email protected]. Only the shortlisted candidates will be notified. All personal data collected will be kept strictly confidential and will be only used for recruitment purposes.
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Employer Ref.: YY-CF-T541
Please apply through the Employer.