The Treasury Assistant Manager / Senior Analyst will assist the Treasury manager in bank account management, cash & liquidity management, and financial risk management of Sea.
Joining a newly established and developing function, this person is expected to play a leading role in building an efficient and effective treasury operation and supporting business functions as they expand.
Manage treasury activities in bank account management, cash & liquidity management, and interco funding based on group treasury policies and standard operating procedures
Provide guidance to local finance / treasury teams on all matters related to treasury in accordance with group treasury policies
Review and analyze cash positions and cash flow forecasts to ensure the optimal level of cash in each entity
Assist in the selection, implementation, and maintenance of a Treasury Management System
Develop and prepare treasury reports and dashboard to monitor exposures and analyze financial risks
Maintain oversight and ensure compliance to SOX and internal Treasury controls
Support ad hoc projects as and when required
At least 5 years of working experience in a Finance / Treasury position
Self-starter, innovative, team-oriented and confident in his or her abilities
Independent, flexible and demonstrate the ability to deal with ambiguity and pressure
Meticulous, analytical and equipped with a problem-solving mindset and can-do attitude
Strong interpersonal and communication skills, able to work well with others
Proficient in using Treasury Management System in current or previous roles
Prior experience in business intelligence tools such as Power BI, Tableau or Qlik Sense would be an advantage