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Banking & Financial Services 🏢 Full Time ⭐️ Terverifikasi

Regional Treasury Manager (FX Hedging) - Japan MNC

Trust Recruit
Canggu, Bali, Indonesia
Salary Estimate
USD 7.000 – USD 8.200
Newest
Live Update
25 Juli 2026
Deadline
25 Jul 2027

job description

Join a leading Japan-based multinational corporation as a Regional Treasury Manager specializing in FX hedging. This is a unique opportunity to work in a dynamic, fast-paced environment with a focus on strategic financial management across the Asia-Pacific region. Based in beautiful Bali, you'll enjoy a competitive salary, excellent career progression, and a collaborative work culture.

As the Treasury Manager, you will oversee foreign exchange risk management, liquidity planning, and regional cash flow optimization. Your expertise will directly impact the company's financial stability and growth in emerging markets. With a strong emphasis on professional development, this role offers exposure to senior leadership and cross-functional projects.

Trust Recruit is committed to fostering an inclusive workplace where innovation thrives. If you're a strategic thinker with a passion for treasury operations, we'd love to hear from you!

Responsibility

  • Develop and execute FX hedging strategies to mitigate currency risks across APAC markets.
  • Monitor and analyze foreign exchange exposures, recommending optimal hedging instruments.
  • Manage regional liquidity, ensuring efficient cash flow and working capital optimization.
  • Collaborate with banking partners to negotiate favorable terms and financial solutions.
  • Prepare and present treasury reports to senior management and regional stakeholders.
  • Ensure compliance with local and international financial regulations.
  • Lead cross-functional projects to enhance treasury processes and systems.
  • Mentor junior team members and foster a culture of continuous improvement.

Qualifications

  • Bachelor's degree in Finance, Accounting, or related field; MBA or CFA is a plus.
  • Minimum 7 years of experience in corporate treasury, with a focus on FX hedging.
  • Strong understanding of financial markets, derivatives, and risk management tools.
  • Experience working in a multinational corporation or financial institution.
  • Excellent analytical skills with proficiency in treasury management systems (e.g., Kyriba, Reval).
  • Fluency in English; Japanese language skills are highly advantageous.
  • Proven ability to work in a fast-paced, multicultural environment.
  • Strong communication and stakeholder management skills.

Required Skills

FX Hedging Treasury Management Risk Management Liquidity Planning Financial Analysis Derivatives Cash Flow Forecasting Stakeholder Management

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