Executive, Treasury

PTTEP JDX & PC JDA Joint Operations Sdn Bhd (PPJO)

Kuala Lumpur

On-site

MYR 67,000 - 100,000

Full time

4 days ago
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Job summary

PTTEP JDX & PC JDA Joint Operations Sdn Bhd (PPJO) in Kuala Lumpur seeks a Treasury/Finance professional on a 24-month direct-hire contract to support cash management, treasury operations, and regulatory compliance under the Team Leader Financial Services. You will handle daily cash positions, cash forecasting, and payments across currencies, while coordinating with AP and line departments.

A bachelor's in finance with 3–5 years' experience and SAP proficiency are required.

Qualifications

  • Bachelor’s degree in finance or related field required.
  • 3–5 years in finance or accounting environment/corporate finance with cash management/treasury operations experience preferred.
  • Experience with standard Accounting System e.g. SAP.
  • Proficient in spreadsheet, word processing, and presentation tools.

Responsibilities

  • Assist Team Leader Financial Services with cash management and treasury operations.
  • Monitor daily and monthly cash position and forecast cash requirements.
  • Prepare cash call letters and ensure timely submission and approvals.
  • Coordinate invoice payments and liaise with AP to optimise cash usage.
  • Ensure compliance with central bank regulations and company policies.

Skills

Cash management
Treasury operations
SAP
MS Office

Education

Bachelor’s degree in finance

Tools

SAP

Job description

EMPLOYMENT TYPE : 24 MONTHS DIRECT HIRE CONTRACT

Assists Team Leader Financial Services with cash management, cash call funding and treasury function of the company. Treasury functions including bank relationship management, foreign exchange operations, cash management, cash and treasury operations. Assists in meeting overall treasury department’s policies and regulatory requirements. Responsible for the day-to-day operational aspects of the treasury department under supervision of the TL.

Responsibilities:

Cash Management

  • Monitors and manages company’s daily and monthly cash position
  • Determines company’s cash position and assists with cash forecasting. Alert TL on any shortfall / surplus of funds and recommend solutions
  • Gathers, interprets all relevant information to prepares monthly cash flow requirements
  • Monitor funds to ensure sufficient to meet company’s payment obligations at all time
  • Executes funds transfer between company’s banks to meet payment obligations
  • Manage payment in variance currencies correctly
  • Meet BNM guideline in ensuring all payments are in compliance with central bank’s regulations

Cash Call Preparation

  • Prepare monthly cash on timely basis in accordance to agreement and company’s policies/ procedures
  • Compile data from both the system and the people
  • Review the information provided by line department and have a robust challenge session where required
  • Review monthly FMR to ensure cash call needs are consistent with what was reported in monthly FMR
  • Review the cash call with Senior and TL prior approval by management
  • Liaise with relevant line department on supporting documents if document attached are incomplete
  • Ability to explain the variances in cash numbers and the basis of the numbers
  • Prepare the cash call letters timely and ensure submission deadlines are met. Potential delays to be addressed with TL.
  • Prepare the timeline for line departments and AP team to provide the necessary information for cash call preparation

Invoice payments

  • Work closely with AP team to ensure all invoices are processed timely so that funds are utilized efficiently
  • Identify invoices that need to be paid based on due dates and cash available
  • Request unblocking for identified invoices to Senior Executive, Financial Services/ Team Lead prior carry out payment run timely
  • Review weekly/monthly cash position and update the status to Senior Executive, Financial services/ Team Lead on weekly basis
  • Highlight and propose when there has been a request for early payment of invoices
  • Review monthly bank charges as billed by company’s bankers to ensure validity and perform the posting timely

Job Requirement: -

  • Bachelor’s degree in finance or related field required
  • 3-5 years in finance or accounting environment/corporate finance with cash management/treasury operations experience a big part of this experience
  • Experienced in handling standard Accounting System e.g. SAP
  • Possess computer application skills e.g. spreadsheet, word processing, power point, presentation/chart application.
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