Bank E-Banking Portal account administration, bank authorization and service set-up, manage user access and role.
Advisory and troubleshooting of bank account and payment related topics.
Implement new bank account (BAM) and payment infrastructure and SWIFT connectivity.
Maintain bank account master data in BAM, create, modify and close bank account when it is needed.
Manage Electronic Bank Statement (EBS), prompt action solving if EBS not received in SAP.
Liaise with the Brand and Internal Legal on the process of opening and closure of external bank accounts and update group banking database to ensure accurate capturing of local bank and BAM account data.
Bank Power of Attorney (POA)
Manage update bank signatories, liaise with Internal Legal, advise and assist Brand in Power of Attorney (PoA) process.
Manage Board Resolution (BR), liaise with Bank Officer's on the draft BR of confirmation proceed circulate Board Director.
Support all the required Bank documentation of update Bank Signatories, including Certify True Copy.
Bank Guarantee
Manage new, renewal of Bank Guarantee (BG), ensure BG limit is sufficient allocate.
Reconciliation BG records montly, ensure accurate record, no duplicate BG earmark in Banking Facilities Limits and Brand return the expired/open-ended BG to Bank and uplift from liability and limits.
Inform Brand monthly of the BG utilisation and liaise with Brand if any BG limit matter.
Overarching Activities
Ensure compliance with each local regulation and Global standards process on above topics.
Manage Treasury documentation and administration in accordance with standard process and ensure compliance with Global policy.
Continued process and solution optimization and automate work process.
Ensure accurate record keeping, consistency and transparency of transactions.
Support internal control and audit for above activities.
Any additional operational tasks as assigned by Regional Treasury and Payment Senior Manager
Requirement;
Academic background: minimum bachelor’s degree or equivalent experience in business administration, Accounting or Finance or Banking
2 years’ experience in Corporate Treasury, preferably in an MNC environment.
Excellent communication skills and proficient in business English and ability to articulate thoughts clearly, written and verbal.
Proactive and Effective in communication with Brand/Internal Legal team and Bank Officers.
Good knowledge of Microsoft Office, experience in create and using Microsoft Forms and Power Automate.
A great teammate with strong sense of ownership.
Decent learning agility and analytical and problem-solving skills.
Experienced user of bank portals and understands the flow.
Inquisitive and reciprocal to other functions.
Good understanding of information system, workflows and technologies in workplace.
Important behavioural traits which must have includes accountable, responsible, transparent, and reliable.
Have a strong functional knowledge of treasury.
Good business acumen and understands cross-function interdependencies.
Experience with a Diapason and Treasury knowledge of SAP is a plus, but not mandatory.
Experience in handling regional stakeholders.
Experience working with International Financial/Banking Institutions, and a thorough knowledge of Commercial Banking Practices is an added advantage.
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about the job
Cash & Liquidity Management
...
Compile liquidity forecast and analyze and monitor the liquidity position.
Handle and monitor region cash pool and perform cash dis-positioning via SAP.
Manage Internal and External loan application and rollover.
Cash Pooling and Interest Scale in house posting and Bank system.
Bank E-Banking Portal account administration, bank authorization and service set-up, manage user access and role.
Advisory and troubleshooting of bank account and payment related topics.
Implement new bank account (BAM) and payment infrastructure and SWIFT connectivity.
Maintain bank account master data in BAM, create, modify and close bank account when it is needed.
Manage Electronic Bank Statement (EBS), prompt action solving if EBS not received in SAP.
Liaise with the Brand and Internal Legal on the process of opening and closure of external bank accounts and update group banking database to ensure accurate capturing of local bank and BAM account data.
Bank Power of Attorney (POA)
Manage update bank signatories, liaise with Internal Legal, advise and assist Brand in Power of Attorney (PoA) process.
Manage Board Resolution (BR), liaise with Bank Officer's on the draft BR of confirmation proceed circulate Board Director.
Support all the required Bank documentation of update Bank Signatories, including Certify True Copy.
Bank Guarantee
Manage new, renewal of Bank Guarantee (BG), ensure BG limit is sufficient allocate.
Reconciliation BG records montly, ensure accurate record, no duplicate BG earmark in Banking Facilities Limits and Brand return the expired/open-ended BG to Bank and uplift from liability and limits.
Inform Brand monthly of the BG utilisation and liaise with Brand if any BG limit matter.
Overarching Activities
Ensure compliance with each local regulation and Global standards process on above topics.
Manage Treasury documentation and administration in accordance with standard process and ensure compliance with Global policy.
Continued process and solution optimization and automate work process.
Ensure accurate record keeping, consistency and transparency of transactions.
Support internal control and audit for above activities.
Any additional operational tasks as assigned by Regional Treasury and Payment Senior Manager
Requirement;
Academic background: minimum bachelor’s degree or equivalent experience in business administration, Accounting or Finance or Banking
2 years’ experience in Corporate Treasury, preferably in an MNC environment.
Excellent communication skills and proficient in business English and ability to articulate thoughts clearly, written and verbal.
Proactive and Effective in communication with Brand/Internal Legal team and Bank Officers.
Good knowledge of Microsoft Office, experience in create and using Microsoft Forms and Power Automate.
A great teammate with strong sense of ownership.
Decent learning agility and analytical and problem-solving skills.
Experienced user of bank portals and understands the flow.
Inquisitive and reciprocal to other functions.
Good understanding of information system, workflows and technologies in workplace.
Important behavioural traits which must have includes accountable, responsible, transparent, and reliable.
Have a strong functional knowledge of treasury.
Good business acumen and understands cross-function interdependencies.
Experience with a Diapason and Treasury knowledge of SAP is a plus, but not mandatory.
Experience in handling regional stakeholders.
Experience working with International Financial/Banking Institutions, and a thorough knowledge of Commercial Banking Practices is an added advantage.
Degree/ diploma in accounting, preferably professional qualification e.g. ACCA , CPA, ICAEW
education
Bachelor Degree
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about the jobReporting to the APAC Treasury and Payment manager, and thanks to your expertise and dynamism you will be in charge to successfully manage financing, treasury and payment topics for our activity in APAC (excluding China, Japan and Korea) across all brands liaising with the Group Payment manager and the Corporate Treasury team. Responsibilities: Cash & Liquidity Management Compile liquidity forecast and analyze and monitor the liquidity positi
about the jobReporting to the APAC Treasury and Payment manager, and thanks to your expertise and dynamism you will be in charge to successfully manage financing, treasury and payment topics for our activity in APAC (excluding China, Japan and Korea) across all brands liaising with the Group Payment manager and the Corporate Treasury team. Responsibilities: Cash & Liquidity Management Compile liquidity forecast and analyze and monitor the liquidity positi
Job Title: Accounts Executive – Treasury Company Type: Public Listed CompanyJob SummaryWe are looking for a meticulous and proactive Accounts Executive – Treasury to support the treasury function of a public listed company. The role will focus on managing daily cash flow, banking operations, and treasury reporting to ensure the company's liquidity and compliance with financial regulations. The ideal candidate has a solid background in cash management, bank
Job Title: Accounts Executive – Treasury Company Type: Public Listed CompanyJob SummaryWe are looking for a meticulous and proactive Accounts Executive – Treasury to support the treasury function of a public listed company. The role will focus on managing daily cash flow, banking operations, and treasury reporting to ensure the company's liquidity and compliance with financial regulations. The ideal candidate has a solid background in cash management, bank
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