Connext
The Senior Treasury Operations Analyst will provide Treasury Operational support to the Finance organization including day-to day treasury operations including but not limited to processing electric funds transfers, corporate bank relationship management, bank portal administration, back-up for cash flow planning and forecasting.
Job Description
• Assist with management/modeling of all global cash management activities including cash positioning, forecasting, liquidity target & capital sources, pooling structures and intercompany loans & transactions.
• Assist in compliance of all risk management and hedging for foreign exchange & interest rate risk management including strategy design, trade execution & operations, compliance and policies.
• Assist with the execution of capital markets transactions (debt issuance/repayment, share issuance/repurchases, dividends).
• Assist with all lending facilities including revolving credit facilities, letters of credit facilities and finance commitments.
• Partner with Internal Audit and Accounting to ensure all treasury activities are appropriately controlled, documented and disclosed, including compliance, cash and investments, borrowings, and other treasury items.
• Develop and maintain models used for forecasting interest expense, funding needs and bond portfolio models.
• Perform analytics related to balance sheet optimization and capital structure
• Assist in senior leadership review of financial policy, debt and capital strategies, risk management etc.
• Perform ad-hoc financial analysis related to liquidity, capital, and market interest rates
• Monitor and articulate capital markets and macroeconomic developments
• Leverage industry research and stay abreast of peer and industry trends
• Identifies and drives process improvements, including the creation of standard and ad-hoc reports, models and dashboards.
• Provides analytical support on special projects and business cases to enhance the financial decision making process.
Required Qualifications
• Strong quantitative skills with demonstrated strong forecasting and modeling experience
• Strong application of AI and/or statistical forecast models to enable plan and forecast processes problem solving and troubleshooting skills with the ability to exercise mature judgment .
• Strong knowledge of fixed income modeling in systems
• Strong oral and written communication skills, including presentation skills (MS Excel, Word, Visio and PowerPoint).
• Application of AI and/or statistical forecast models to enable plan and forecast processes Thrive in a fast-paced environment, and have passion and intellectual curiosity to find and capture business value
• Strong interpersonal skills with the ability to establish and maintain effective working relationships.
• In-depth knowledge of funding strategies and capital markets
• High level of integrity, professionalism, and accountability in financial practices
• Highly organized, with the ability to manage multiple priorities and deadlines effectively
• Self-motivated and results-oriented, with a proactive approach to solving complex problems.
Screening Criteria
• Bachelor’s degree is required in finance, economics, accounting, mathematics, or engineering.
• Minimum of five (5) to seven (7) years of experience in treasury, cash management and finance.
• Must have a stable employment history.
Please refer to job description.
Boss
HR ManagerConnext
8000 JP Laurel Avenue, Davao, Davao Region, PH
發布於 17 May 2025
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