about the company
the company is one of the top players in its own industry, manufacturing essential item that is vital for the healthcare industry and other industries as well.
about the job
the responsibility of this role covers overseeing treasury operations such as managing cash balances and cash flow projections, forex hedging monitoring, carrying out credit reviews on customers, and working with Group finance team by reviewing consolidated reports.
about the manager / team
You will be part of a big finance team of above ten headcounts and will be reporting directly to the Financial Controller.
how do you match
The ideal candidate has at least 5 years of related experience, came from audit background, has done Treasury and Credit Control roles previously.
If you are keen on this role, please send me your updated cv with current and expected salary,with notice period to rowena.
c randstad.com.my. I will then be in touch and reveal further about the role. Referrals are welcomed as well!
treasury, cash flow, credit control, credit review, consolidation
ACCA / CIMA / MICPA / CPA