





Tier-1 employer, metro location, and mid-senior finance role increase applicant competition.
Treasury skills are moderately transferable across industries but require finance-specific domain knowledge.
Mandatory 7+ years and specific treasury/cash management experience required.
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Manage bank relationships and ensure group compliance with support from local CFOs and teams across EAMEI / HHC GBU.
Own cash and liquidity management processes, including forecasting, reporting, and improving working capital metrics for all entities.
Lead Treasury projects and financial risk management activities including FX hedging, funding support, and treasury governance across the EAMEI / HHC region.
7+ years of work experience in treasury and cash management, preferably in a multinational company and shared service center environment.
Proficiency in English (Intermediate/Fluent); French is an asset but not mandatory.
Relevant qualifications preferred: CTP, ACT, CTM certifications or MBA/Master in Finance.
Work Experience Required: 7+ years in treasury and cash management.
Experienced in managing complex treasury operations including cash flow, funding, risk management, and banking relationships at a regional/multinational level.
Comfortable working with multiple stakeholders such as local CFOs, corporate finance, and financial institutions in a structured governance framework.
Capable of leading treasury projects, improving processes, and ensuring compliance and internal control in a regulated multinational setting.