Education
- Bachelor's degree or above in Finance, Accounting, Banking or Business Administration.
- Preferred: CFA, ACCA, CPA, or equivalent professional certification.
Experience
- Minimum 5 years in treasury, corporate finance or banking.
- Hands-on experience managing multi-account cash flows and working directly with banking partners.
- Preferred: experience at a real estate
developer or diversified conglomerate.
Skills
- Proficient in Excel and accounting software (SAP, MISA, or equivalent).
- Strong financial analysis and cash flow forecasting skills.
- Effective communicator with banks and internal stakeholders.
- Able to read and understand financial documents in English.
Other Requirements
- High integrity, attention to detail, and the ability to work under pressure.
- Capable of handling high transaction volumes while maintaining strict internal control compliance.
Working Schedule: Monday to Saturday