Mid & Long term Cash flow planning and daily cash management positioning
Secure sufficient credit and FX lines to support all funding requirements
Explore various funding and investment instrument including derivatives with competitive pricing
Deal and settle borrowing, investment and FX deal
Settlement of intercompany loan and capital injection
Manage Authorization Matrix for payment settlement
Manage liquidity, market price (interest rate, currency), counterparty and operational risk in line with ALM (Asset & Liquidity Management) and Group Treasury’s guidelines
Over 10 years of experiences above
Fluent in English
People Management skill