Treasury Analyst

Merck Group

Taguig

Remote

PHP 600,000 - 900,000

Full time

8 days ago
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Job summary

Merck Group in APAC is seeking a Treasury associate to support regional cash management from the Philippines. You will help with daily cash positioning, liquidity monitoring, and basic FX exposure tracking under guidance from senior staff.

You will contribute to standardizing treasury processes, assist in cash pooling and internal clearing, and help collect and report data for dashboards using Power BI or Tableau. Strong English communication and attention to detail are essential.

Qualifications

  • Bachelor’s degree in Finance, Accounting, Economics, or related field.
  • 2–3 years in Finance/Treasury or related functions.
  • SSC/BPO experience in finance, accounting, data entry, or process adherence.
  • Familiarity with Treasury/ERP systems (SAP preferred); basic MS Office proficiency.

Responsibilities

  • Support regional Treasury operations in APAC from the Philippines.
  • Assist in daily cash positioning, liquidity monitoring, and bank reconciliations.
  • Participate in rollout of regional Treasury processes, including cash pooling and internal clearing.
  • Help collect, validate, and report Treasury-related data for dashboards using Power BI/Tableau.
  • Collaborate with global Treasury teams and cross-functional partners.

Skills

Data analysis
Data collection
Data reconciliation
Reporting
English communication
Power BI
Tableau
Excel

Education

Bachelor's degree in Finance/Accounting/Economics

Tools

SAP
ERP systems
Power BI
Tableau
Excel

Job description

Job Description:

Work Your Magic with us! Ready to explore, break barriers, and discover more? We know you’ve got big plans – so do we! Our colleagues across the globe love innovating with science and technology to enrich people’s lives with our solutions in Healthcare, Life Science, and Electronics. Together, we dream big and are passionate about caring for our rich mix of people, customers, patients, and planet. That's why we are always looking for curious minds that see themselves imagining the unimaginable with us.

Your Role

Support regional Treasury operations in APAC from the Philippines, enabling smooth cash management, liquidity oversight, and basic FX exposure tracking under the guidance of senior Treasury staff.

Key Focus Areas
  • Daily cash and liquidity support: assist in cash positioning, liquidity monitoring, and bank reconciliation activities under supervision.
  • Treasury process execution: participate in the rollout and standardized execution of regional Treasury processes, including basic cash pooling and internal clearing activities.
  • Data-driven support: help collect, validate, and report Treasury-related data; contribute to dashboards and KPI tracking using Power BI/Tableau.
  • FX and risk basics: support FX exposure tracking and perform routine hedging-related data entry and reconciliation as directed.
  • Collaboration: work with global Treasury teams and cross-functional partners to ensure alignment with regional business goals.
  • Continuous improvement: stay informed on Treasury best practices and data analytics trends; support process improvement initiatives as assigned.
  • Project coordination: assist in planning and coordinating smaller workstreams and deliverables under supervision.
What Success Looks Like
  • Timely execution of routine Treasury tasks with accuracy.
  • Clear, actionable data inputs for dashboards and reports.
  • Smooth collaboration with regional and global teams, contributing to cost-efficiency and process standardization.
Who You Are
  • Education
    • Bachelor’s degree in Finance, Accounting, Economics, or related field. Master’s degree not required but a plus.
  • Experience
    • 2–3 years in Finance/Treasury or related functions.
    • SSC/BPO experience in finance, accounting, data entry, or process adherence strongly welcomed.
  • Systems and tools
    • Familiarity with Treasury/ERP systems (SAP preferred); basic MS Office proficiency (Excel, Outlook).
    • Exposure to data visualization tools such as Power BI or Tableau is a plus.
  • Analytical and data skills
    • Aptitude for data collection, reconciliation, reporting, and basic analysis.
    • Interest in learning cash forecasting, liquidity metrics, and risk controls.
  • Communication
    • Strong written and verbal communication in English.
    • Ability to document processes clearly and collaborate with cross-functional teams.
  • Personal attributes
    • Detail-oriented, organized, and proactive.
    • Comfortable working under deadlines and managing multiple priorities.
    • Team player with a collaborative mindset; willingness to learn and adapt.
  • Certifications (nice-to-have)
    • CPA/CA fundamentals, FRM, or treasury-related certifications (ongoing or completed).
    • SAP, ERP, or data-analytics certifications welcomed.
What we offer

We are curious minds that come from a broad range of backgrounds, perspectives, and life experiences. We believe that this variety drives excellence and innovation, strengthening our ability to lead in science and technology. We are committed to creating access and opportunities for all to develop and grow at your own pace. Join us in building a culture of inclusion and belonging that impacts millions and empowers everyone to work their magic and champion human progress!

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