Regional Treasury Specialist
US Listed MNC Semiconductor Company
About Our Client
Our client is a US Listed MNC leading the semiconductor manufacturing industry. Founded more than half a decade ago, they are looking to further their global footprint leveraging on their development proficiency and extensive process technology expertise. They have presented an opportunity looking for a Regional Treasury Specialist to value add to their corporate treasury function.
Reporting to the corporate treasurer, this role sits in the corporate treasury function with the headquarters. You will be responsible for the Group's cash position while managing the liquidity and working capital needs. In line with market conditions, you will be responsible for sourcing for new banking technologies and products to improve the treasury operations. You will be executing the FX hedges in accordance to the FX hedging program. You will be handling the day to day operational needs of the Global Corporate Insurance Program, and recommending the optimal capital funding structure for the company. You will play a key role in ensuring SOX compliance for treasury operations.
The Successful Applicant
Ideally, you are an Accountancy/Finance Degree holder or equivalent with 8 years of your career in Treasury. You should be strong in foreign exchange, cash management and all other aspects of treasury function. With a high level of attention to detail, you are able to work independently and display qualities of a team player. You possess the flexibility to assume a new role, is able to work in an unstructured environment and display good tenacity to exceed expectations. You are an individual well versed in systems implementation and improvement projects.
What's on Offer
The successful candidate can join an organisation with good career advancement opportunities in a fast growing company.