Job Description
About the Role:
- Develop and implement cash management strategies to optimize liquidity and funding for the China operations
- Manage foreign exchange risk through hedging strategies and monitoring currency exposure
- Establish and maintain relationships with local banks and financial institutions to support banking operations and funding needs
- Ensure compliance with local regulations and tax requirements related to treasury activities in China
- Collaborate with internal stakeholders to support strategic initiatives and business expansion in the region
- Develop and implement loan strategies to optimize funding sources and manage debt levels effectively
- Implement risk management strategies to identify, assess, and mitigate financial risks in the China market
- Provide regular reporting and analysis on treasury activities in China to senior management and stakeholders
- Lead a team of treasury professionals to execute treasury functions effectively and efficiently
The Successful Applicant:
- The ideal candidate for this role will have a strong background in treasury management, with expertise in loans, funds, risk management, and capital markets in the Chinese market. You should have a deep understanding of local financial practices, regulations, and market dynamics, as well as excellent communication and leadership skills to work effectively with cross-functional teams and external partners.
If you are a proactive and results-oriented treasury professional with a strategic mindset and a passion for driving financial performance, we encourage you to apply for this challenging and rewarding opportunity.