Assistant Vice President, Treasury and Debt Execution

PCCW LTD

Hong Kong

On-site

HKD 600,000 - 800,000

Full time

14 days+
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Job summary

PCCW LTD in Hong Kong is seeking an experienced professional to manage corporate treasury operations, ensuring compliance with group policies and internal controls. You will lead a team of treasury officers while performing financial analysis and preparing management reports.

The ideal candidate will hold an undergraduate degree in Finance or related discipline and have at least 8 years of managerial experience in corporate treasury. Strong communication skills and market risk assessment knowledge are essential for success.

Qualifications

  • A minimum of 8 years' experience in the corporate treasury field with managerial function.
  • Sound knowledge in market risk assessment, regulatory regime, and hedging documentation.
  • Hands-on experience with implementing operations efficiency initiatives and AI adoption.

Responsibilities

  • Manage corporate treasury operations ensuring compliance with group policies.
  • Assess financial risk and monitor FX and interest rate markets.
  • Advise business units on banking requirements relevant to operations.

Skills

Treasury operations management
Market risk assessment
Financial analysis
Regulatory compliance knowledge
Strong communication skills

Education

Undergraduate degree in Accounting, Finance, Economics or related disciplines

Tools

Treasury management systems
Various payment platforms

Job description

Your Role

Reporting to the management team of Treasury and Debt Execution and leading a team of treasury officers, your key responsibilities include:

  • Manage corporate treasury operations and ensure treasury activities are compliant with group policies and internal controls.
  • Assess financial risk, monitor FX and interest rate markets, execute trades and track valuation.
  • Steer operations efficiency initiatives and execute implementation.
  • Advise and interface with business units and external stakeholders on banking requirements relevant to business operations and special projects.
  • Monitor funding requirements and collaborate with financing team to ensure adequate liquidity and optimise working capital.
  • Perform financial analysis and prepare management reports.
  • Address matters relating to due diligence and risk compliance.
To Succeed in this Role
  • Undergraduate degree holder in Accounting, Finance, Economics or related disciplines preferred
  • A minimum of 8 years' experience in the corporate treasury field with managerial function
  • Sound knowledge in market risk assessment, regulatory regime and hedging documentation
  • Hands-on experience with implementing operations efficiency initiatives and AI adoption in operations will be an advantageFamiliarity with various payment platform and treasury management system
  • Good understanding of regulatory and compliance framework relevant to corporate treasury
  • Strong communications skills with good command of written and spoken English and Chinese.

Ref ID: 61719

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