This reputable company from the Aviation industry is looking for the Group Treasurer.
Responsibilities Reporting to CFO, you will manage a team of 3-4 people overseeing the treasury function, including but does not limit to cash pooling and cash flow management. You will lead Foreign Exchange risk management to mitigate such risks when the payments received are in different currencies. You will also lead the relevant short-term investments. You will build and maintain strong, collaborative relationships with banking partners to optimise financial operations and support the company's overall goals.
Requirements - Bachelor's degree holder
- A minimum of 15 years of experience, with relevant exposure gained from airlines/aviation
- Excellent command of English and Chinese