Treasury Analyst III - FX & Analysis (12 months contract) (Global Business Services)
On-site · Petaling Jaya, Selangor, Malaysia
Job Summary
Treasury Analyst III - FX & Analysis responsibilities include analyzing FX risk, planning and executing hedging strategies and settlements with banks in line with FX policies, analyzing and building financials, capital structure, and FX exposures, coordinating with Treasury Front Office and Back Office to execute strategies, and communicating treasury matters to stakeholders. The role requires a strong foundation in treasury fundamentals, English proficiency with Mandarin as a plus, and experience with treasury systems (Quantum) and ERP tools (SAP, Anaplan, Fireapps). The successful candidate will partner with regional treasury staff and stakeholders to manage risk and support financial planning and reporting in a 12-month contract, based in Kuala Lumpur, Malaysia. The posting notes a local candidate requirement with no relocation support and emphasizes a flexible, performance-driven environment under Kimberly-Clark’s inclusive culture.
Required Qualifications
- Bachelor degree in accountancy/finance or a related field
- at least 8 years of experience in the financial area
- Experience with a Treasury Management System, particularly Quantum
- Knowledge of SAP, Anaplan and Fireapps is a plus
- Experience in handling Global stakeholders
- Experience working with international financial institutions
- thorough knowledge of commercial banking practices
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