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A leading real estate services company seeks a Treasury Professional to optimize cash management and financial operations in Southeast Asia and Korea. The role emphasizes cash flow management, financial risk strategies, and effective banking relations, requiring strong analytical and communication abilities. Candidates should have relevant treasury experience and a finance degree, with opportunities for professional growth in a collaborative environment.
Jones Lang LaSalle (JLL) is a leading global professional services and investment management company specializing in real estate. Our comprehensive range of services encompasses leasing, acquisition, disposition, and management of commercial properties worldwide. We are committed to delivering exceptional value to our clients and fostering a collaborative and dynamic work environment.
We are seeking a Treasury Professional for our Southeast Asia and Korea markets, responsible for managing cash flow, financial risk, and liquidity. The role involves working closely with senior management and cross-functional teams to develop and implement treasury strategies, policies, and procedures in a fast-paced environment, leveraging analytical skills and financial acumen to optimize cash management and strengthen financial positions.
Why JLL?