The Treasury and Trade Solutions (TTS) Asia business provides working capital, integrated cash management and trade solutions to multinational corporations, financial institutions, and public sector across the globe.
Reporting to the Planning & Analysis Head, you will be part of the leading analysts within TTS Finance providing analytical and strategic support to the senior management and collaborating with the business and functional partners in delivering key initiatives and achieving financial results.
Your role includes:
Prepare and co-ordinate the business reviews, and review of the monthly results, forecast and budgeting plans for the Core Cash business.
Work closely with FP&A head on business strategic initiatives. Provides action oriented analysis, modeling scenarios that represent upcoming business decisions and presenting conclusions and recommendations.
Partner closely with product heads to drive and implement key initiatives and new products rollout relating to payments and receivables, cards and FXJV.
Collaborate and drive GPO FP&A initiatives with Regional ICG finance, CSC Mumbai and Global TTS Finance in establishing the key standard product related performance reporting and metrics across TTS.
Bachelor's degree in Accounting or Finance, professional accounting certification and/or MBA preferred.
Minimum 8 years of relevant experience in financial services, preferably in a large complex organization.
A team player with the ability to build strong relationships and interact at all levels in the organization.
Demonstrate an ability to learn and desire to develop and improve by challenging status quo.
Banking and Financial Services
Finance / Accounting
PLEASE! No enquiries from Recruitment Agencies or Headhunters.
Only direct applications will be considered.