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- Good Environment
- Annual Bonus
- Easy Commute
Responsibilities
- Oversee and manage foreign exchange operations to ensure competitiveness and compliance with regulatory standards.
- Develop and implement treasury processes to enhance operational efficiency and reduce risk.
- Analyze market trends and FX rates to optimize transaction costs and improve profitability.
- Collaborate with cross-functional teams to align treasury strategies with overall business objectives.
- Prepare and present comprehensive reports on FX operations and treasury performance to senior management.
- Maintain relationships with banking partners and financial institutions to secure advantageous FX rates.
- Ensure compliance with all financial regulations and internal policies related to FX and treasury activities.
- Identify opportunities for process improvements and implement best practices in treasury operations.
Requirements
- Bachelor's degree in Finance, Accounting, or a related field; MBA or relevant certification is a plus.
- Minimum of 5 years of experience in FX operations or treasury management.
- Strong knowledge of financial instruments, market operations, and regulatory frameworks.
- Proficient in financial modeling and analysis, with excellent analytical skills.
- Exceptional communication and interpersonal skills, capable of working collaboratively across teams.
- Ability to thrive in a fast-paced, dynamic environment with changing priorities.
- Fluency in English is required; additional languages are a plus.
Benefits
- Competitive salary and performance-based bonuses.
- Comprehensive health and wellness benefits, including medical, dental, and vision coverage.
- Flexible working hours and remote work opportunities.
- Professional development and career advancement opportunities.
- A vibrant and inclusive workplace culture that encourages innovation.
- Participation in company-sponsored events and activities.