Search by job, company or skills

Senior Executive, Account (Treasury)

  • Posted 4 hours ago
  • Be among the first 10 applicants

Job Description

Treasury Operations

  • Oversee daily bank movements and ensure timely reconciliation against the Cashbook.
  • Review and monitor daily cash positions, funding requirements, and cash flow forecasts across Business Unit.
  • Review and approve fund planning proposals to ensure adequate liquidity and optimal cash utilization.
  • Oversee the maintenance of loan schedules and review loan interest, repayment, and drawdown instructions.
  • Manage the administration of Bank Guarantees, including applications, renewals, amendments, cancellations, and maintaining the control register.
  • Review and authorize treasury-related payments in accordance with delegated authority and internal control policies.
  • Ensure timely and accurate monthly bank reconciliations and treasury-related month-end closing activities in SAP.
  • Review Fixed Deposit reports, Facility Utilization reports, and other treasury management reports for accuracy and completeness.
  • Monitor banking facilities and ensure compliance with financing agreements and banking covenants.
  • Coordinate with Group Treasury to optimize cash management, banking facilities, and treasury initiatives.

Leadership & Team Management

  • Lead, coach, and develop the Treasury Operations team to ensure high performance and continuous capability development.
  • Allocate work, monitor team performance, and ensure service level expectations are consistently achieved.
  • Review team outputs and ensure treasury activities are completed accurately, efficiently, and within established timelines.
  • Foster a culture of collaboration, accountability, and continuous improvement within the team.

Governance & Process Improvement

  • Ensure compliance with company policies, treasury procedures, accounting standards, and regulatory requirements.
  • Strengthen internal controls and identify opportunities to improve treasury processes, systems, and operational efficiency.
  • Assist with internal and external audits by providing treasury documentation and responding to audit queries.

More Info

Job Type:
Industry:
Employment Type:

About Company

Job ID: 152342199

Similar Jobs

Malaysia, Kuala Lumpur

Skills:

SAPIntercompany settlement

Malaysia, Kuala Lumpur

Skills:

SAPMicrosoft ExcelOracle

Malaysia, Kuala Lumpur

Skills:

Sap HanaMicrosoft Excelfixed-asset accountingTreasury OperationsPayment Processingfx hedgingBank Reconciliationmonth-end closingGeneral Ledger

Malaysia, Kuala Lumpur

Skills:

SAPGDPMDSIso 13485Data AnalysisLeanContinuous ImprovementQuality ToolsJdestatistical methods

Malaysia, Kuala Lumpur

Skills:

SAPMicrosoft ExcelUbsAccounting Software

Beware of Scammers

We don’t charge money for job offers