Job Description:
Huntsman Global Business Servicesis looking for Treasury Manager whom will be leading the team to set up our new Treasury function within Global Business Services.
Our office in Kuala Lumpur is home to our dynamic Global Business Services team who provides strategic and transactional services for Huntsman from our Shared Service Centre. They offer quality support to a diverse global team, drive collaboration and efficiency, and helps unlock growth with improved service delivery. Opportunities are available in the areas of IT, Accounting, Internal Audit, Finance, Human Resource etc.
We invest in the future of our people through on-the-job training and career coaching. You can experience classroom training and workshops, overseas training and online training courses, to name a few. Our Talent Program, rotational assignments and Buddy programs help guide your career path to long-term success. As you grow professionally, you’ll be supported with robust compensation, comprehensive benefits and a spirit of belonging.
If you are looking for challenging work, dynamic opportunities and a supportive culture, you’ll find good chemistry at our KL office.
General Purpose of Job
The Treasury Manager position is responsible for performing the reporting required for the asset backed financing.
He/She is to identify and resolve the areas of concern, provide suggestions and coordinate potential improvements in the overall process operation and participate in global projects.
He/She primarily will be working closely with the various stakeholders globally (i.e. Accounting, Customer Service & Credit) to ensure that the services are delivered on time with quality.
He/She will also be responsible in ensuring that the all tasks performed are in accordance to Sarbanes Oxley Act (SOX) Control and Internal Audit guidelines.
Prioritized Essential Functions and Responsibilities
With limited supervision and moderate decision-making:
In this role, the Treasury Manager will be utilizing his/her technical expertise to provide the following support:
Performing the global reporting for the asset backed financing
Producing various reports & forecasts
Identifying, investigating and correcting differences
Ensure that all tasks performed are SOX and Internal Audit Compliant
Provide support and service requests from the business globally in a timely manner
Involve in implementing systems and procedures changes
Involve in ad hoc projects and migration
Assist with requests from internal and/or external auditors
Other general responsibilities:
Planning of activities
Participates in and completes company-required training programs
Participates in Environmental, Health, & Safety initiatives as set forth by the company
Working Hours:
Designated shift hours for about 1 week per month
Requirements
Degree in Accounting or Finance or equivalent with minimum of 8 years of relevant experience
Specific Skills and Knowledge
Prior work experience in a shared service and accounting environment, preferably responsible for treasury and/or asset backed financing reporting
Ability to manage/coach a team that works on tasks and resolve problems that are complex in nature
Ability to exercise considerable judgement and enforce Professional Concepts, company policies and procedures
Proficient in MS Office, MS Excel is a must
Familiar with SAP
Experience in treasury management systems such as Kyriba is a plus
Ability to prioritize and work under tight timelines
Good written and communication skills in English. Comfortable in working with diversified cultures
Able to excel in a fast-paced environment
Customer-service and Tasks oriented - Committed to respond efficiently to the customers' needs and delivering quality work at all times
Additional Locations: