about the company
My client is a well-established energy commodities company who is looking for a Treasury and Trade Finance candidate to join their team, monitor cash flow movement and liaise with APAC offices.
about the job
- Monitor cash flow movement, fund allocations, daily FX forecast, market price movements across the APAC
- Cash flow forecast and prepare report
- Liaise with shipping operations, ensure correct cargo movement, provide accurate MTM updates
- Prepare trade documents and oversee all banking facilities
- Liaise with banks
- Prepare management reports
about the manager/team
- Report to CFO
- Liaise with APAC offices
- CBD area
- Discretionary bonus
skills and experience required
- At least 3 years of treasury and trade finance experience in commodities industry
- Excellent communication skills
- Able to provide effective solutions promptly
- Strong knowledge of risk management, FX exposure, hedging strategies
- Knowledge in LC, documents, negotiation, issuance
To apply online please use the 'apply' function, alternatively you may contact Joanie Lau at 8938 3128.
(EA: 94C3609/ R23112944 )