Manager – Treasury
Responsibilities
Lead & manage team, and monitor all Treasury functions: cash management, investing, funding, receiving, and payment etc.
Arrange and negotiate with Financial Institutions on short-term, long-term funding, and other credit facilities needed, including review Credit Facility Agreements, related contracts and documents (both in Thai & English).
Build, develop and maintain good relationship with Financial Institution & Non Financial Partners.
Oversee and monitor daily, monthly FX hedging transactions, including arrange and maintain FX lines with Financial Institutions.
Supervise and review all oversea operational transaction such as T/T, D/P, D/A, L/C Opening, Bill for Collection etc.
Supervise, prepare and settle inter-company loans, including seek optimum funding choices and cost of capital for the company and its subsidiaries both local and oversea.
Supervise, forecast and manage cash flow to meet daily, monthly or longer term of cash requirements.
Find and study banks’ products in order to develop working process or increase commercial opportunities.
Arrange and coordinate with related parties i.e. TSD, parent company etc. for company’s dividend payment.
Main coordinator and a trouble shooter for Stores operations which related to financial functions.
Qualifications
Bachelor’s Degree in Finance or Accounting, Master’s Degree in related field is preferable
At least 5 years experience in Treasury functions, cash management, funding, investing and dealing with Financial Institutions, 3 years in supervisor/manager level would be a plus
Keen on FX market & products, and know well about financial market & instruments
Strong analytical and planning skill
Strong Leadership, decision making and team player
Willing to work into details and hands on
Good interpersonal and presentation skills
Good written and spoken English
Computer literate: MS Office etc.