Corporate Finance Manager (5 days work week)
EspritKowloon bayUpdate time: November 15,2019
Job Description

Responsibilities

  • Help manage corporate finance work, including treasury, investor relations, financial analysis and capital market transactions
  • Prepare monthly commentaries on Group performance
  • Formulate and execute FX hedging strategy
  • Produce cash flow analysis and cash balance report
  • Enhance yield on cash holdings
  • Ensure sufficient liquidity and banking facilities for operation
  • Manage banking relationship
  • Conduct market research on industry, exchange rate, and regulations
  • Any ad hoc projects assigned by management

 

Requirements

  • University graduate in Finance or Accounting
  • Professional qualification of CPA/CFA and/or relevant experience gained in corporate treasury or finance industry an advantage
  • Good command of both written and spoken English
  • Experience with SAP and HSBCnet is a plus
  • Strong analytical mind and able to work under pressure and independently
  • Excellent presentation and interpersonal skills

 

Please and send your resume with salary expectation to Esprit Human Resources Department Asia.

Information provided will be treated in strict confidence and used for employment purpose within the Group only.

ESPRIT Unit 1101, 11/F, Goldin Financial Global Centre 17 Kai Cheung Road Kowloon Bay, Kowloon

Human Resources Department Asia

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