Our client is looking for a hands-on and driven Financial Treasury Specialist to build and scale the company's finance capabilities as they grow. This is a high-impact role where you'll work closely with leadership, shape financial strategy, and establish best-in-class processes from the ground up.
What You'll Do
- Own and build the company's budgeting and forecasting framework, aligning financial planning with fast-evolving business goals
- Deliver clear, data-driven insights on financial performance, highlighting risks and opportunities
- Partner closely with business teams to drive smarter decisions and improve financial discipline
- Take full ownership of treasury operations, including cash flow planning, liquidity management, and banking relationships
- Explore and execute financing strategies to support growth (credit facilities, new funding channels, financial instruments)
- Drive process improvements and implement systems (ERP, automation tools) to scale efficiently
- Act as a strategic finance partner to leadership in a fast-paced, evolving environment
What We're Looking For
- 5+ years of experience in FP&A, budgeting, or treasury, ideally in high-growth or fast-paced environments
- Strong commercial mindset with the ability to translate numbers into business insights
- Hands-on, adaptable, and comfortable building processes from scratch
- Solid understanding of cash flow management, banking, and financial instruments
- Advanced Excel skills; experience with ERP systems is a plus
- Mandarin proficiency to collaborate with regional stakeholders
Why Join Us
- High visibility and direct exposure to leadership
- Opportunity to shape finance strategy and build systems from the ground up
- Fast-paced environment with strong growth potential
- Real impact on business decisions and outcomes