Treasury Analyst

HP

Kuala Lumpur

On-site

MYR 60,000 - 80,000

Full time

10 days ago

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Job summary

HP is seeking a treasury-analyst-level professional in Malaysia to provide extensive support to the treasury department, including data analysis in cash management, foreign exchange, and risk management. The role will engage in treasury projects, assist in program execution with foundational knowledge, and analyze capital market matters while coordinating with internal departments.

Ideal candidates will hold a four-year or graduate degree in business, economics, or finance and have 2–4 years of

Qualifications

  • Four-year or graduate degree in business Administration, economics, finance or related field.
  • Typically 2–4 years of work experience in finance, audit, accounting, treasury or related field.

Responsibilities

  • Supports treasury operations and analyzes moderately complex data in cash management, FX, and risk management.
  • Participates in treasury projects and assists in executing treasury programs with foundational knowledge.
  • Models and analyzes capital market matters and coordinates with internal departments.
  • Assists with cash flow projections, financial statements and reports for stakeholders.
  • Coordinates with internal departments to ensure timely processing of invoices and cash transactions.

Skills

Data analysis
Cash management
Foreign exchange
Risk management
Financial reporting

Education

Bachelor's degree in Business Administration/Economics/Finance

Job description

Description
  • This role is responsible for providing extensive support to the treasury department, including conducting analysis of moderately complex data in areas such as cash management, foreign exchange, and risk management.
  • The role engages in various moderately complex treasury projects and assists in executing treasury programs with foundational discipline knowledge. The role involves modeling and analyzing matters related to capital markets as well as coordinating with internal department.
Job Summary
  • This role is responsible for providing extensive support to the treasury department, including conducting analysis of moderately complex data in areas such as cash management, foreign exchange, and risk management.
  • The role engages in various moderately complex treasury projects and assists in executing treasury programs with foundational discipline knowledge. The role involves modeling and analyzing matters related to capital markets as well as coordinating with internal department.
Responsibilities
  • Supports the treasury department extensively in matters concerning treasury operations, escalating issues when required.
  • Conducts analysis of data with a moderate level of complexity in fields such as cash management, foreign exchange, risk management, and treasury services.
  • Engages in a variety of moderately complex treasury projects and assists in the execution of treasury programs by applying foundational discipline knowledge.
  • Assists in modeling and analysis of matters related to capital markets, interest rate risk management, cash management, forecasting, and collateral management activities.
  • Assists with the preparation of cash flow projections, financial statements, and other financial reports as needed for internal and external stakeholders.
  • Coordinates with various internal departments to ensure timely processing of invoices, payment requests, and other cash-related transactions.
  • Stays up to date on changes in regulatory requirements and market conditions that could impact treasury operations and investment strategies.
  • Compiles, verifies, and manages the set-up and ongoing review of various electronic funds transfer related templates necessary for conducting routine business transactions.
  • Develops conclusions, recommendations, and written reports, contributing proactively through research and data analysis support, and sharing knowledge to foster a knowledge management culture.
  • Works independently on moderate scope problems, applying professional expertise, exercising judgment, and resolving various issues by following company policies and procedures.
Education & Experience Recommended
  • Four-year or Graduate Degree in Business Administration, Economics, Finance, or any other related discipline or commensurate work experience or demonstrated competence.
  • Typically has 2-4 years of work experience, preferably in finance, audit, accounting, treasury, or a related field or an advanced degree with little or no work experience.
Job Details
  • Job: Finance
  • Schedule: Full time
  • Shift: No Shift premium (Malaysia)
  • Travel: No
  • Relocation: No

HP, Inc. provides equal employment opportunity to all employees and prospective employees, without regard to race, color, religion, sex, national origin, ancestry, citizenship, sexual orientation, age, disability, or status as a protected veteran, marital status, familial status, physical or mental disability, medical condition, pregnancy, genetic predisposition or carrier status, uniformed service status, political affiliation or any other characteristic protected by applicable national, federal, state, and local law(s). Please be assured that you will not be subject to any adverse treatment if you choose to disclose the information requested. This information is provided voluntarily. The information obtained will be kept in strict confidence. For more information, review HP’s EEO Policy or read about your rights as an applicant under the law here: “Know Your Rights: Workplace Discrimination is Illegal"

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