Treasury Supervisor

Abbott

Shanghai (VA)

On-site

USD 90,000 - 150,000

Full time

14 days+
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Job summary

Abbott in the United States is seeking a seasoned treasury professional to lead cash management, FX, and related risk controls within the treasury function.

You will own monthly cash forecasting, liquidity planning, hedging execution, and bank relations, while ensuring accurate end-of-period reporting and compliance across the treasury operations.

Qualifications

  • 5+ years of professional financial experience/exposure.
  • Good communication, problem solving and presentation skills.
  • Analytical and numerical skills.
  • Fluent English required; Korea/Japanese preferred.

Responsibilities

  • Manage cash forecasting, LBE reporting and funding plans.
  • Forecast monthly FX positions and hedging execution.
  • Lead month/year end treasury closing and reporting.
  • Maintain bank relations and LOI drafting.

Skills

5+ years experience
English fluency
Communication skills
Problem solving
Presentation skills
Numerical skills

Tools

ERP systems
Financial tools

Job description

Job Weighting% - Main Responsibilities

50% - Monitor cash and FX position to ensure both liquidity and profitability

  • monthly cash forecast, quarterly LBE and annual plan
  • intercompany transactions settlements via Netting system
  • Hedge programme plan, execution and reporting
  • manage the relationship with bank
Job Weighting% - Main Responsibilities

50% - Monitor cash and FX position to ensure both liquidity and profitability

  • monthly cash forecast, quarterly LBE and annual plan
  • intercompany transactions settlements via Netting system
  • Hedge programme plan, execution and reporting
  • manage the relationship with bank

35% - Monitor Treasury Compliance

  • LOI/approval matrix for payments, loans, other cash transactions
  • respond to audit queries
  • annual regulatory report

15% - Other Treasury related Matters :

  • ESPP
  • pension fund etc.
  • annual insurance programm
Major Responsibilities/Activities :
  • Cash Managements
    • Monthly/quarterly forecast and LBE reporting, variance analysis, monitoring key business changes which drives cash fluctuation
    • Funding proposal/plan to address cash issues ie. monitoring on liquidity/borrowing status (drawdown, rollover, repayment or prepayment, short term investment), optimizing borrowing term and interest by balancing the liquidity and financial costs.
    • Driving key treasury activities :TPA, dividends, ICB settlements or any measurements helping cash positions.
  • FX Managements
    • Monthly FX position forecasting and reporting, variance analysis, etc.
    • Hedging Executions from bidding, exercising, signoff, reporting, recording till final realization.
    • Driving key FX initiatives : annual cash flow hedge forecasting
  • Be responsible for month/year end closing activities of treasury team such as cash reconciliation reports, and forward contract revaluation and account explanation.
    • Prepare reports timely and accurately per local requirements and Global requirements.
  • Bank Relations Managements :
    • LOI drafting and implementing
    • Leading every topic/issue/dialogues with banks at affiliate level.
REQUIREMENTS :
Position experiences :
  • 5+ years of professional financial experience/exposure
  • Good communication skill, problem solving and presentation skills.
  • Basic analytical skills and very good numerical skills
Language Skills
  • Good command of English is a must. Korea and Japanse are preferred.
Computer Skills
  • Mastery financial tools and ERP system knowledge and good technical skills
Other Special requirement
  • Good working attitude and team work spirit as well as good sense of responsibility
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