Sr. Treasury Analyst

MKS Inc.

Hong Kong

On-site

HKD 700,000 - 1,100,000

Full time

4 hours ago
Be an early applicant
Application generator

A complete application in a minute — tailored resume and cover letter, ready to send.

Get past ATS filters

Job summary

MKS Inc. in Hong Kong seeks a Senior Treasury Analyst to join our Regional Treasury team and optimize liquidity across the Asia-Pacific region. You will partner with local finance teams, banking partners, and HQ to manage cash, risk, and treasury operations.

The ideal candidate has 5–8 years in treasury within a multinational, with strong cash management, banking, and ERP/TMS experience. Fluency in English is required and Mandarin understanding is a plus.

Qualifications

  • Bachelor's degree in finance or related field.
  • 5–8 years in treasury, corporate finance, or cash management.
  • Strong understanding of cash management, treasury operations, FX, and working capital.
  • Advanced Excel & financial analysis; ERP & TMS experience.

Responsibilities

  • Monitor regional daily cash positions across entities and currencies.
  • Prepare short- and medium-term cash flow forecasts and analyze forecast accuracy.
  • Optimize liquidity via cash concentration and intercompany funding.
  • Manage day-to-day banking relationships and account maintenance.
  • Support FX hedging and risk management reporting.
  • Contribute to treasury systems enhancement and process improvements.
  • Ensure compliance with controls and audit readiness.
  • Prepare treasury dashboards and KPIs for management.

Skills

Analytical skills
Problem solving
Communication skills
English proficiency
Mandarin understanding

Education

Bachelor's degree

Tools

Excel
SAP
Oracle
Coupa
Kyriba
FIS Quantum
GTreasury
Integrity

Job description

We are seeking a highly motivated and analytical Senior Treasury Analyst to join our Regional Treasury team in Hong Kong. This role will support treasury operations across the Asia‑Pacific region, partnering closely with local finance teams, banking partners, and corporate headquarters to optimize liquidity, manage financial risk, and ensure efficient treasury operations.

The ideal candidate will have 5–8 years of progressive treasury experience, preferably within a multinational organization, and possess strong technical knowledge of cash management, banking, treasury controls, and financial analysis.

Key Responsibilities
Cash & Liquidity Management
  • Monitor and manage daily regional cash positions across multiple legal entities and currencies.
  • Prepare short- and medium-term cash flow forecasts and analyze forecast accuracy.
  • Optimize regional liquidity through cash concentration, intercompany funding, and working capital initiatives.
  • Execute funding activities and support internal financing transactions.
Banking & Treasury Operations
  • Manage day-to-day banking relationships throughout the APAC region.
  • Coordinate bank account openings, closures, maintenance, and periodic reviews.
  • Oversee electronic banking platforms and ensure appropriate user access and payment controls.
  • Support payment execution and approval processes while ensuring compliance with company policies.
Financial Risk Management
  • Assist in monitoring foreign exchange exposures and support execution of approved FX hedging strategies.
  • Support interest rate and other financial risk management activities as required.
  • Prepare exposure reports and provide analysis to treasury leadership.
Treasury Systems & Process Improvement
  • Support the administration and enhancement of Treasury Management Systems (TMS), banking platforms, and treasury-related ERP modules.
  • Identify opportunities to streamline treasury processes through automation and standardization.
  • Participate in regional and global treasury transformation initiatives.
Compliance & Controls
  • Ensure treasury activities comply with internal controls, corporate policies, and local regulatory requirements.
  • Maintain accurate treasury documentation, including bank mandates, signatory records, and authorized user lists.
  • Support internal and external audits by preparing requested documentation and responding to audit inquiries.
Reporting & Business Partnership
  • Prepare regular treasury reports, dashboards, and KPI metrics for regional and corporate management.
  • Analyze cash flow trends, liquidity positions, and banking costs, providing recommendations for optimization.
  • Collaborate with Accounting, Tax, FP&A, Legal, and regional Finance teams on treasury-related matters.
  • Assist with special projects, acquisitions, financing initiatives, and other strategic treasury activities.
Qualifications
Required
  • Bachelor's degree in Finance, Accounting, Economics, Business, or a related discipline.
  • 5–8 years of treasury, corporate finance, or cash management experience, preferably within a multinational corporation.
  • Strong understanding of:

Strong understanding of:

  • Cash management and liquidity planning
  • Treasury operations
  • Banking products and services
  • Foreign exchange and financial risk management
  • Working capital management
  • Advanced proficiency in Microsoft Excel and financial analysis.
  • Experience working with ERP systems (e.g., SAP, Oracle) and Treasury Management Systems (e.g., Coupa, Kyriba, FIS Quantum, GTreasury, Integrity, or equivalent).
  • Strong analytical, problem-solving, and organizational skills.
  • Excellent written and verbal communication skills in English.
  • Can understand Mandarin
Preferred
  • Treasury certification such as Certified Treasury Professional (CTP) or equivalent.
  • Experience supporting multiple countries across the APAC region.
  • Knowledge of Hong Kong and regional banking practices.
Key Competencies
  • Strong analytical and quantitative skills
  • Attention to detail and commitment to accuracy
  • Ability to manage multiple priorities in a fast‑paced environment
  • Collaborative team player with strong stakeholder management skills
  • Continuous improvement mindset
  • High level of integrity and sound judgment
What We Offer
  • Opportunity to work in a dynamic regional treasury organization supporting multiple APAC markets.
  • Exposure to strategic treasury initiatives and transformation projects.
  • Collaborative multinational work environment with opportunities for professional growth and career advancement.
Get your free, confidential resume review.
or drag and drop your file here.
Similar jobs

Similar jobs worth comparing

Senior Treasury Manager, Shenzhen Based (Up to RMB$50k)
Senior Treasury Manager, Shenzhen Based (Up to RMB$50k)

Charterhouse Limited • Hong Kong Island

On-site
HKD 593,000 - 710,000
Treasury Lead
Treasury Lead

Confidential • Hong Kong

On-site
HKD 1,800,000 - 2,400,000
Senior/ Treasury Analyst
Senior/ Treasury Analyst

Robert Half Hong Kong Limited • Hong Kong

On-site
HKD 450,000 - 750,000
Assistant / Finance Manager (Treasury focus)
Assistant / Finance Manager (Treasury focus)

Renrui Human Resources Technology (Hong Kong) Limited • Hong Kong

On-site
HKD 900,000 - 1,200,000
Senior Treasury Analyst, HKD 40-45k x12 +B
Senior Treasury Analyst, HKD 40-45k x12 +B

Michael Page International (Hong Kong) Limited • Hong Kong Island

On-site
HKD 550,000 - 900,000
Global Treasury Manager
Global Treasury Manager

Zeal Group • Hong Kong

On-site
HKD 939,000 - 1,410,000
Senior Finance Manager
Senior Finance Manager

VCC Land Limited • Hong Kong

On-site
HKD 500,000 - 900,000
Medical insurance
Performance bonus
Meal allowance
Senior Treasury Manager
Senior Treasury Manager

JNL Consulting Limited • Hong Kong

On-site
Senior Treasury Associate
Senior Treasury Associate

Jobtailor • Hong Kong

On-site
HKD 350,000 - 550,000
Corporate Treasury, Liquidity Execution, Analyst, Hong Kong
Corporate Treasury, Liquidity Execution, Analyst, Hong Kong

Goldman Sachs, Inc. • Hong Kong

On-site
HKD 600,000 - 900,000