Vacancy Description
- Execute daily global cash positions and liquidity including global bank balances, funding requirements, and short-term investing of surplus funds.
- Develop and maintain rolling 3 to 6 months cash flow forecasts for group entities to support proactive liquidity planning;
- Prepare and maintain accurate daily, weekly, and monthly cash flow forecasts and working capital requirements as well as liquidity reports for management.
- Monitor currency exposures, execute hedging transactions as dire...
Ready to Apply?
अभी आवेदन करें
Submit your application for SENIOR EXECUTIVE (MALAYSIA) at DXN Holdings Berhad
Apply for this Position