Treasury Analyst III - FX & Analysis (12 months contract) (Global Business Services)
Hybrid · Petaling Jaya, Selangor, Malaysia or Kuala Lumpur, Kuala Lumpur, Malaysia
Job Summary
Treasury Analyst III - FX & Analysis (12 months contract) role focusing on analyzing FX risk, planning and executing hedging strategies, and assessing capital structure and FX exposures. Responsibilities include building financials, collaborating with Treasury Front Office and Back Office to implement planned strategies, communicating treasury matters to stakeholders, and serving as a treasury partner within a regional context. Requires strong English communication, presentation skills, and familiarity with treasury systems (e.g., Quantum, SAP, Anaplan, Fireapps) plus experience handling international stakeholders. Role offers flexible hybrid work arrangements in Malaysia (Kuala Lumpur / Petaling Jaya) with local candidate eligibility and no relocation support.
Required Qualifications
- Bachelor degree in accountancy/finance or a related field, with at least 8 years of experience in the financial area.
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