Job Description
Well-versed in Financial Risk Management, such as Credit /Liquidity and Commodity risks.
Experience in mitigation of Financial Risks- including mitigation by natural Hedging and uses of Derivatives / Hedging tools.
Analyze market, Monitor, report, and escalate Risks as per the Financial Risk Management Framework.
Working experience in ensuring effective management and planning of investment of funds to achieve optimal returns.
Competent with various regular and ad hoc reporting, including Dashboards, using tools such as Power BI, PowerPoint, and advanced Excel etc.
Financial & Accounting Background with sufficient knowledge of accounting and auditing to deal with External / Internal Auditors and ERM team requests.
Working relationships with banks and overseeing the provision of bank-related activities.
Project Management / Coordination across various internal and External Stakeholders.
Ability to publish the monthly economic report and insight on the changes in the market.
Skills
Skills:
1. Strong understanding of treasury operations and financial markets
2. Knowledge of risk management principles and practices
3. Proficiency in cash flow forecasting and liquidity management
4. Experience in financial analysis and reporting
5. Excellent communication and interpersonal skills for stakeholder management
6. Ability to work under pressure and meet tight deadlines
7. Familiarity with treasury systems and tools
8. Leadership skills to manage a team effectively and drive results
9. Attention to detail and accuracy in handling large financial transactions
10. Problem-solving capabilities to address complex financial issues
Education
Finance, Treasury, Risk Management