This role requires high level of commercial awareness, technical risk expertise and the ability to build relationships and manage a wide variety of stakeholders, including Business Heads, Liquidity Risk Management, Finance Reporting teams, and other Treasury Balance Sheet Management teams.
Duties & Responsibilities:
Conduct research and analyses on international developments and industry practices, and develop and analyse policy options to address solvency, liquidity, credit, market and operational risks.
Experienced in navigating the complexities of corporate mergers, overseeing investments in joint ventures, and managing business partnerships.
With a solid background in corporate forex investment strategies, optimizing currency risk management, and ensuring favorable outcomes for the organization.
Experienced in establishing partnerships and securing financing from Chinese financial institutions and Chinese commercial banks to fulfill financing needs.
Skills & Requirement:
Degree Holders in Management or equivalent from a recognized Institution/University. Work experience from MNC main-con or China commercial financial institution is a plus.