About the role
Who We Are
About the Opportunity
What You’ll Be Doing
- Act as the Regional Treasurer for EMEA within a global treasury team, overseeing cash management, liquidity planning, and banking activities across the region
- Manage regional cash positioning and respond to ad-hoc treasury requests across EMEA in a timely and effective manner, leveraging Treasury Management System (TMS) and AI tools
- Serve as the primary treasury representative in EMEA, partnering with regional Finance Directors and Business Heads
- Collaborate with EMEA Finance Operations to execute internal funding activities, including capital injections, dividend distributions, and intercompany transactions
- Support and contribute to global treasury projects, including system enhancements, process redesign, and broader strategic initiatives
What We Look For In You
- Minimum 6–8 years of relevant experience in corporate treasury and/or banking, preferably within a multinational environment
- Strong experience in cash management, liquidity planning, and banking operations
- Technology-savvy, with hands-on experience using treasury management systems (TMS) and AI tools in day-to-day work
- Exposure to digital assets / crypto-related treasury activities is an advantage, but not required
- Fluency in English is required; Mandarin proficiency is an advantage
- Demonstrated ability to work independently and proactively, with strong ownership of responsibilities
- Strong communication and interpersonal skills, with the ability to confidently represent treasury and engage senior stakeholders across the region
Perks & Benefits
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Competitive total compensation package
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L&D programs and Education subsidy for employees' growth and development
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Various team building programs and company events
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Wellness and meal allowances
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Comprehensive healthcare schemes for employees and dependants
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More that we love to tell you along the process!