Job Purpose
To execute and manage day-to-day treasury operations and liquidity function including but not limited to cash flow planning, debt management, and banking/e-banking related activities
Job Responsibilities
Cash flow and Liquidity management.
- Monitor and manage daily cashflows positions both HDA & Non-HDA to ensure sufficient liquidity for operations and other group requirements.
- Track cash level inflows and outflows
- Investment of surplus fund
- Intercompany fund planning and mobilization
Funding and Financing
- Coordinate loan drawdowns and repayment and interest/profit servicing including IMTN programme
- Documentation for loan facilities and assistance on negotiations of terms
- Preparing funding proposal
- Assisting JVs in Financing matters
Treasury Operations
- Manage bank account operations and mandates
- Manage banking facilities operations and mandates
- Handle treasury-related payments and documentation
Banking, KPKT & Stakeholder Relationship Management
- Liaise with banks & KPKT on day-to-day matters
- Support banker queries on disbursement, facility review and other banking related matters.
- Rating agency review
Compliance & Reporting
- Treasury monthly report, AOP, Mid-Year review, Quarterly AC cash flow planning, BNM quarter report submission, PNB report, Rating Agency review, Annual Report review, among others
- Ad-hoc projects and any other tasks assigned by the GM treasury.
Professional Experience
- Minimum 7 years of experience in treasury, cash management, liquidity management, corporate finance or banking.
- Experience in funding and financing facilities (including loan documentation, facility negotiations), cash flow forecasting, debt management and banking relationship management.