Treasury Manager APAC
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About the role
EXCLUSIVE NETWORKS | Introduction Exclusive Networks is the global cybersecurity go-to-market specialist that provides partners and end-customers with a wide range of services and product portfolios. With offices in over 45 countries and the ability to serve customers in over 170 countries, we combine deep local expertise with the scale and delivery of a single global organization. Our best-in-class vendor portfolio is carefully curated with all leading industry players. Our services range from managed security to specialist technical accreditation and training and capitalize on rapidly evolving technologies and changing business models. For more information visit www.exclusive-networks.com . At Exclusive Networks, we are passionate about making a difference. That means delivering the best to our ecosystem, shaping a prosperous and trusted digital world, and helping our people to realize their full potential. DUTIES AND RESPONSIBILITIES | About the role The Treasury Manager APAC is responsible for managing the region's cash, liquidity, and financial risk (incl. FX), ensuring that financial assets (notably working capital) are utilized efficiently, and in line with corporate goals. The role reports to the APAC CFO with a dotted reporting line into the Group Treasurer, and will work with Group, Regional and Countries organizations to oversee daily cash management operations, forecast & optimize cash flow, manage bank relationships, hedge FX exposure, and ensure compliance with financial policies and regulatory requirements. As the Treasury Manager APAC , you will: Treasury Management Perform Treasury function and reporting such as cash management, bank account management, funding, cash forecasting, and foreign exchange hedge. Support various APAC countries or business units on compliance and other requirements necessary for treasury and banking needs. Leverage / deploy Treasury systems and technology to simplify / standardize processes and improve efficiency. Ensure compliance with internal controls, procedures and policies as well as relevant external regulatory measures. Facilitate intercompany settlements and dividend repatriation. Co-ordinate with Collections, Finance and Commercial functions to ensure prompt resolution of payment defaults. Work closely with various country Collections and Payment group and highlight key focus areas to address issues to meet working capital metrices in a timely manner. Banking Relationships Support and coordinate with bank, legal team and company secretary on the necessary documentation / agreements required by the banks. Facilitate banking relationship relating to various request from admin to operational matters. Assist in system integration and bank interface communication. Monitor compliance to bank covenants. Bank guarantee review and tracking. Foreign Exchange Process and execute FX transactions, hedging, settlements and other treasury activities in compliance with internal treasury controls and policies. Prepare and analyse treasury reports, monitor financial exposures, manage foreign exchange fluctuations and analyse financial risks. Ad hoc Projects Assist in evaluation / implementation of Treasury and Working Capital activities and other ad-hoc projects for APAC Finance from time to time including support Internal and External Audit, process implementation, HQ query and analysis and other stakeholders' requirements. Liaison with Payments, Collections, Cash reporting and with other Finance teams' initiatives. Other related duties assigned as needed. QUALIFICATIONS AND EXPERIENCE | About you The ideal Treasury Manager APAC will have Strong experience working in treasury management (ideally around 10 years). Strong understanding of treasury operations, cash forecasting & management, debt management, financial markets, and financial instruments. Experience in risk management strategies, including hedging and currency risk management. Proven track record of managing relationships with banks, financial institutions, and external partners. Proven leadership skills working with virtual teams / stakeholders with ability to coordinate with various stakeholders and organize activities across regional & country teams while maintaining a hands-on approach. Advanced proficiency in financial modelling, forecasting, and financial analysis. Strong knowledge of treasury management systems (TMS), ERP systems, and Microsoft Excel. A self-starter, analytical, team player able to prioritize work towards tight deadlines. Excellent communication and interpersonal skills. Fluent in English (spoken and written). WHO ARE EXCLUSIVE NETWORKS? | Why work for us We are people focused and strongly believe that talent empowers us to continue our dynasty of disruption and growth in the future. Our Mission is to drive the transition to a totally trusted digital world for all people and organizations. Visit our website www.exclusive-networks.com. We are proud to be an Equal Opportunity