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CIMB Group

Manager, Business Management (Treasury & Markets)

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  • Posted 17 hours ago
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Job Description

Key Responsibilities

Financial Records & Coordination

  • Compile, consolidate, and analyze financial data for management reporting and decision‑making.
  • Ensure the accuracy and integrity of financial information by identifying irregularities and resolving discrepancies.
  • Coordinate with sales teams on reporting and budgeting inputs to support planning and performance tracking.
  • Work closely with cross‑functional teams to ensure effective communication and smooth workflow.
  • Support financial operations, including budgeting, invoicing, and expense tracking.
  • Analyze income and expense trends and provide insights to support business decisions.
  • Review and simplify workflows in line with the Simple, Better, Faster initiative.

Management Reporting

  • Prepare and ensure timely, accurate monthly management decks.
  • Assist in the preparation of ad‑hoc reports and presentations as requested by management.

Business Administration & Operations

  • Support HR‑related activities, including recruitment coordination, onboarding, and employee records management.
  • Manage procurement and vendor administration by liaising with external vendors, suppliers, and service providers.
  • Monitor compliance with company policies, procedures, and applicable regulatory requirements.
  • Perform periodic control assessments and/or testing to ensure the effectiveness of internal controls.

Others

  • Coordinate and support IT and business projects, as required.

Key Requirements

  • Bachelor's Degree or professional qualification in Accounting, Finance, Economics, Financial Engineering, or equivalent.
  • Professional or postgraduate qualifications (e.g. Chartered Accountant, CFA, MBA) are an added advantage but not mandatory.
  • Minimum 2 years of relevant work experience in a finance or accounting role; experience within a Treasury function is preferred.
  • Strong analytical and control mindset.
  • Proficient in Microsoft Office applications; basic programming skills are an added advantage.
  • Good understanding of financial market risk drivers and the ability to articulate risk concepts to non‑risk stakeholders.

More Info

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About Company

Job ID: 147331701

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