Senior Treasury & Fund Operations Lead

Hytech Consulting Management Sdn Bhd

Kuala Lumpur

On-site

MYR 90,000 - 150,000

Full time

3 days ago
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Benefits offered by this job

Competitive salary
Gym and wellness claims
Corporate insurance (dental, optical,

Job summary

Hytech is a leading management consulting firm with a global footprint, seeking a Senior Treasury Executive to oversee more complex fund operations and support cash flow planning. The role also involves mentoring junior staff to ensure accuracy, timeliness, and regulatory compliance in fund management.

Responsibilities include managing fund transactions, preparing reports, monitoring cash positions, supporting audits, and driving process improvements across treasury operations.

Qualifications

  • Diploma, Bachelor's or Professional Degree in Finance, Accountancy, Banking or related field.
  • 3–5 years experience in treasury or fund operations, preferably fintech.
  • Strong command of English, Bahasa Malaysia and Mandarin advantageous.

Responsibilities

  • Manage complex fund transactions and cash flow schedules.
  • Prepare daily, weekly and monthly fund and cash reports.
  • Monitor cash positions and coordinate fund allocations across units.
  • Support fund audits, compliance, and regulatory reporting.
  • Review fund transaction records prepared by junior staff.
  • Assist in process improvements for fund operations.
  • Provide guidance to junior finance executives.

Skills

English fluency
Bahasa Malaysia
Mandarin

Education

Diploma in Finance/Accountancy
Bachelor's Degree in Finance/Business
Professional Degree in Finance

Tools

Treasury systems
MS Excel

Job description

Hytech is a leading management consulting firm with a global footprint, seeking a Senior Treasury Executive to oversee more complex fund operations and support cash flow planning. The role also involves mentoring junior staff to ensure accuracy, timeliness, and regulatory compliance in fund management.

Responsibilities include managing fund transactions, preparing reports, monitoring cash positions, supporting audits, and driving process improvements across treasury operations.

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