Osmium Consulting Group Limited
Associate - Manager, Treasury
14-Jul-2025
Ref:OL02043408
Full Time Central, Western District

Responsibilities :

        • Execute foreign exchange (FX) transactions and manage daily cash operations, including e-banking transactions and funding position monitoring.

        • Coordinate with internal teams to ensure adequate daily funding arrangements.

        • Optimize firm-wide liquidity and capital management strategies.

        • Execute time deposit transactions to maximize yield.

        • Ensure compliance with treasury policies, guidelines, and regulatory requirements.

        • Prepare and submit regular reports to head office and senior management.

        • Assist in treasury system administration, including maintenance and enhancements.

        • Handle ad-hoc projects and assignments as required.

Requirements : 

        • Bachelor’s degree in Finance, Accounting, Economics, or a related field.

        • At least 4 years of relevant experience in financial institutions (securities or banking preferred).

        • Hands-on experience in treasury operations and financing activities.

        • Strong multitasking ability with a focus on meeting tight deadlines.

        • Detail-oriented, proactive, and skilled in task prioritization.

        • A collaborative team player with strong interpersonal and problem-solving skills.

        • Proficient in MS Office.

        • Fluent in English, Cantonese, and Mandarin.

        • Less experienced candidates may be considered for an Associate role.

 



 

 



Tags for this job:

 

 



More jobs from this company