About the Client
Our client is a leading player in the real estate sector with progressive growth in the Greater China region over the past 20 years. To cope with their immediate need, they are looking for a Treasury Director to join the team.
About the Role
This position reports into the Group CFO with the responsibilities of managing all cash management functions in the organization. You will oversee the cash management with related banking and financial institution relationships; negotiating with banks and proactively drive long term capital market financing activities in the Greater China region. You will mitigate risk and maximize strategic gains to financial plan and capital market transactions. You will manage cash, investment, debt and borrowing strategies as well as ensuring compliance is met.
The Successful Applicant
You should be a degree holder in Business or Accounting related disciplines. You should possess over 15 years of treasury experience with Hong Kong based and listed organisations. Extensive experience and knowledge in capital markets, corporate finance arenas are essential with good relationship with local and international banks. Strong analytical and communication skills are required with fluency in English and Mandarin.
Click "Apply Now" to apply for this position or call Rebecca Chan at +852 3180 4933 for a confidential discussion. All information collected will be kept in strict confidence and will be used for recruitment purpose only.