Part-timers & Freelancers are Welcome to apply this Full time position
~ Reporting to the Head
, this role will be responsible for all of the group's treasury activities. This shall include but not limited to cash flow & liquidity management, foreign exchange, intercompany lending and administration, and fund raising. You should have a strong understanding and management of the company's financial structure, and be able to analyse and assess commercial risks and likely returns. You are also responsible to raise funds for new projects and expansion plans. Leading a team, you are also a strategic and 'hands-on' leader to provide the right guidance as required. You should also maintain a strong relationship with the financial institutions and service providers.