Join a dynamic team where your trading and technical skills drive impactful treasury and funding activities.
Roles/Responsibilities
- Market analyzation to ensure company's financial stability and compliance.
- Assist in securing funding and maintaining relationships with banks and investors.
- Track interest rates and support creditor negotiations to optimize debt management.
- Support hedging and risk management strategies using market insights from trading exposure.
- Assist with treasury systems and reporting tools to improve operational efficiency.
Required skills
- Business level Japanese and English.
- At least 3 years of experience in treasury operations, front office trading or DCM roles.
Preferred skills
- Experience negotiating funding, debt, and liquidity solutions with banks.
Personal Attributes
- Proactive and motivated to work in a client facing position.
- Strong in statics data analyzing.
About our client
A global financial services firm with chance to work closely with senior management group.