Rare regional level treasury opportunity at a foreign institution.
Roles/Responsibilities
- Oversee cash management operations and treasury systems across APAC regions.
- Plan and operate debt capital market programs and manage covenant compliance.
- Negotiate with banks for pricing, funding, and investor relationships.
- Mitigate financial risks through ALM and liquidity management.
- Ensure compliance with treasury policies, regulations, and reporting requirements.
Required skills
- 10+ years of experience within Treasury operations, funding, liquidity management areas.
- Fluent proficiency in both Japanese and English.
Preferred skills
- Industrial background in financial services sectors.
Personal Attributes
- Detail-oriented.
- Leadership competency.
About our client
A leading global brand with strong presence in Japan.