On behalf of an international Real Estate Asset Management firm, we are seeking an experienced (3-6 years) treasury services professional.
Role:
Bank Account & Liquidity Management:
- Monitor and consolidate balances across the company's bank accounts
- Prepare periodic cash position summaries
- Coordinate bank administrative matters including KYC updates and account maintenance
Payments & Remittance Administration:
- Support execution of payment and remittance instructions in accordance with internal approval procedures
- Verify supporting documentation prior to payment processing
- Coordinate with internal teams and banks on remittance matters, including cross-border transfers
Loan & Financing Administration:
- Maintain records of loan facilities, repayment schedules and interest payments
- Assist in monitoring hedge settlement schedules and confirmations with banks
- Maintain documentation relating to financing arrangements and bank facilities
- Support operational matters relating to loan drawdowns and repayments
Treasury Reporting & Documentation:
- Prepare treasury reports including bank balance summaries and liquidity updates
- Maintain internal trackers relating to financing obligations
- Maintain organised records of treasury-related documentation including loan agreements and bank facility letters
Requirements:
- 3–6 years of experience in treasury operations, finance operations, or banking operations.
- Experience in bank account administration, remittance processing or loans administration
- Fluency in both English and Cantonese. Mandarin is a bonus but not esential.
- Bachelor's degree in finance, accounting, business or similar.