Executive Director

KN Group

Hong Kong

On-site

HKD 1,200,000 - 2,400,000

Full time

29 hours ago
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Job summary

KN Group seeks a seasoned Head of Treasury and Financing in Hong Kong to formulate strategies, optimize capital structure, and drive risk management for the group and overseas subsidiaries.

You will lead cross-border financing, manage multi-currency settlements, and build end-to-end risk controls while coordinating audits and regulator reviews. Candidates should have 8+ years in treasury with 5+ years in leadership, and a Master’s degree in Finance or related fields.

Qualifications

  • Master’s degree in Finance, Finance & Accounting, or related disciplines.
  • CPA, CFA or FRM certifications preferred.
  • Min 8 years in treasury, financing and investment with 5+ years in team management.

Responsibilities

  • Formulate treasury strategies and annual plans, optimize debt structures and capital costs.
  • Oversee cash pooling, accounts and cash flow management for the group and subsidiaries.
  • Lead financing projects and expand financing channels while lowering cost of capital.
  • Manage cross-border funds, multi-currency settlements and FX/IR risk.
  • Build risk control systems and coordinate audits/regulatory inspections.
  • Maintain banker relationships and deliver operational analyses and team leadership.

Skills

Treasury management
Team leadership
Cash pooling
Financial modeling
Risk assessment
Cross-border finance
Stakeholder communication
Multi-currency settlement
FX hedging

Education

Master’s degree in Finance or related
CPA/CFA/FRM preferred

Tools

ERP systems
Financial modeling software
Cross-border finance tools

Job description

Formulate the Group’s treasury & financing strategies and annual plans, optimize capital and debt structure, and assess regulatory and market risks.

Oversee domestic and overseas accounts, cash pooling and cash flow management to guarantee liquidity security for the Group and its overseas subsidiaries.

Lead the delivery of all types of financing projects, expand financing channels and steadily reduce the overall capital cost.

Manage cross-border funds, multi-currency settlement, foreign exchange and interest rate risks, and comply with local foreign exchange and financial regulatory requirements.

Build end-to-end risk control systems for treasury and financing businesses, and cooperate with audits and regulatory inspections.

Maintain partnerships with financial institutions, including but not limited to banks, credit funds and mezzanine investors. Manage the team, optimize business processes and deliver regular operational analysis reports.

Full-time Master’s degree or above, majoring in Finance, Finance & Accounting, Accounting, International Economics or related disciplines. Candidates with professional certifications such as CPA, CFA or FRM are preferred.

Minimum 8 years of combined working experience in treasury, financing and investment, including at least 5 years of team management experience. Candidates with a balanced background in both investment and financing are strongly preferred.

Deep industry knowledge of the financial sector, including market trends, regulatory frameworks, and key risk drivers; familiarity with the data center and infrastructure industry is a plus.

Solid understanding of overseas investment markets, with proven ability to evaluate cross‑border investment opportunities, navigate local regulatory environments, and formulate entry or expansion strategies.

Prior experience in Fintech, internet finance, cross‑border payment or consumer finance is a plus. More importantly, we are looking for candidates who have worked in capital‑intensive infrastructure industries such as data centers, power generation, or commercial real estate – preferably in an in‑house treasury and corporate finance capacity, with direct exposure to large‑scale project financing.

Familiarity with financial systems, foreign exchange controls and relevant financial regulations in Hong Kong and Southeast Asia is preferred.

Proficient in group cash pooling, cash flow management, account administration, multi‑currency settlement and foreign exchange hedging. Well‑versed in diverse financing tools including debt financing, structured financing, ABS and supply chain finance, with a proven track record of delivering large‑scale financing projects.

Strong competencies in financial modeling, data analysis and risk evaluation; capable of independently completing capital calculation and stress testing.

Possess outstanding business negotiation, cross‑institutional and cross‑departmental communication skills, and excel at maintaining senior connections with financial institutions.

Fluent in both written and spoken English and Chinese.

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