What Jobs are available for Treasurer in Hong Kong?

Showing 167 Treasurer jobs in Hong Kong

Treasurer

Indonesia Chamber of Commerce In Hong Kong Limited

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Job Description

InachamHK is an official Chamber of Commerce for Indonesia in Hong Kong. The mission is to facility, promote, and connect businesses between Hong Kong and Indonesia with our extensive network and platform. Our members consist of like minded entreprenuers, professionals, and government officials, is now inviting applications for the following position:

Treasurer

  • LCC higher level or above
  • 2-3 years of relevant work experience in chambers of commerce is preferred
  • Responsible for daily treasury operations
  • Ensure the smoothness of daily settlement task, working experience of cashier / bank teller is a plus.
  • Daily admin tasks
  • Assisting for chamber activities
  • Prepare daily and monthly reports and other administrative duties
  • Perform any other relevant duties as assigned
  • Proficient in PC skills, MS Office applications, and Chinese Word Processing
  • Good command of written and spoken English and Chinese
  • Good communication skills and self-initiated, positive attitude with great attention to detail.
  • Able to work independently & hardworking
  • Willing to work overtime and able to work under pressure
  • Immediately available

We offer attractive remuneration package to the right candidates. Please send your full resume with expected salary to The Personnel Manager, 11th Floor, Nanyang Plaza, 57 Hung To Road, Kwun Tong, Kowloon, or e-mail to

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Treasurer

$120000 - $200000 Y HONG KONG FUSHAN VAYU ENERGY TECHNOLOGY CO., LIMITED

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Job Description

Responsibilities:

  1. Manage global bank accounts, including opening, closing, changing, and

maintaining accounts, ensuring compliance with AML/KYC requirements.

  1. Coordinate fund transfers and domestic/ cross-border payments to ensure safety,

accuracy, and timeliness.

  1. Prepare annual and monthly cash budgets and rolling forecasts to support strategic

decision-making.

  1. Analyze cash structure and returns, and propose optimization plans to improve

cash efficiency and investment returns.

  1. Monitor foreign exchange risks and stay updated on foreign exchange control

policies and capital flow rules in major jurisdictions.

  1. Maintain effective communication and cooperation with banks, financial

institutions, and internal departments.

  1. Establish and optimize cash management processes and internal controls to

enhance operational efficiency and compliance.

  1. Use Microsoft Office and Power BI for data analysis and visual reporting.

Requirements:

  1. Bachelor's degree in Accounting, Finance, or a related field.

  2. At least 5 years of cash/treasury management experience in a multinational

  3. environment; global account management experience preferred.

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Assistant Treasurer

$120000 - $240000 Y MTR 港鐵

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Job Description

Assistant Treasurer - Financing and Risk Management (Ref: X9)

Responsibilities

  • Lead the timely assessment, execution and monitoring of derivatives to effectively manage the FX and interest rate risk exposure portfolio of the Corporation.
  • Formulate and execute the financing and hedging strategies/ plans to support the Corporation's growth business and meet the Corporation's funding requirement in accordance with the approved budget and preferred debt profile.
  • Assist the Treasurer in the assessment and deployment of derivatives relevant to the planning and execution of financing transactions including bond issues, hybrid capital, structured project-level finance and syndicated loans.
  • Responsible for the derivatives' risk assessment and regular financing and risk management reports, Executive and Board papers, discussion materials and recommendations.
  • Lead and develop team members in the execution of hedging transactions, foreign exchange and investment of surplus funds to ensure appropriate accounting and public disclosure of derivative transactions in compliance with the applicable standards and requirements; ensure the team competencies and future readiness to enhance operational effectiveness and efficiency.
  • Coordinate and work effectively with internal and external stakeholders including banks, Financial Control, Audit, Legal & Governance Departments to ensure that matters relevant to derivatives and shareholders' dividend/ payments is timely and accurate.
  • Offer technical advice and engagement with senior management in relation to market development, interest rate, foreign currency trends to facilitate the formulation of preferred financing model and business decisions.

Requirements

  • Degree in Finance, Accounting or relevant discipline.
  • Possession of a recognized professional qualification in accounting or risk management is desirable.
  • A minimum of 15 years' experience in pre and post trade operational management of derivatives execution, FX and interest rate risk assessment and reporting, and thorough understanding of ISDA and CSA documentation, of which at least 8 years should be at managerial level with team leadership responsibilities.
  • A track record of experience in foreign exchange, capital markets and risk hedging in major financial institutions or corporations with familiarity of using market data software and platforms, good understanding of accounting standards relevant to derivatives is required.
  • Strong teamwork, analytical and stakeholder management skills with good command of both written and spoken English (Chinese is preferred).
  • Practical knowledge of software applications including presentation and spreadsheet, and relevant knowledge of corporate finance / treasury systems are essential.

Remarks
- Candidates with less experience will be considered for the Senior Treasury Manager - Financing and Risk Management position

Applications

You are invited to apply online via or send in your CV stating the position (with reference number) you are applying for by mail to Human Resource Management Department, MTR Corporation, G.P.O. Box 9916, Hong Kong on or before 23 October

For other job openings, please visit MTR Corporation's website for more details.

All information provided by applicants will be treated in strict confidence and used for recruitment purpose only. All personal data of unsuccessful applicants will be retained for 12 months for future recruitment purpose and will then be destroyed.

Primary Location: Hong Kong

Schedule: Full-time

Job Posting: 09/Oct/25, 10:34:39 PM

Closing Date: 23/Oct/25, 10:59:00 AM

Job Number: X9

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Regional Treasurer Asia

$120000 - $240000 Y CHARGEURS PCC ASIA LIMITED

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Job Description

Key Responsibilities

Financial Risk Management – Hedging and Derivatives

  • Monitor and follow-up currency risk exposure (transactional / economic) and provide guidance to regional management when needed.
  • Execute current and future FX in line with company standards and operating procedures.
  • Coordinate administrative efforts for hedge trades, confirmations, and settlements.
  • Complete reporting materials preparation for regional and divisional management.

Cash Management & Forecasting

  • Responsible for accurately executing cash transactions, including bank transfers and AP payments. Monitor cash flow and provide timely updates on cash position.
  • Actively support Credit Controls and ensure good practice across the region.
  • Assists FP&A with developing key inputs into the balance sheet, income statements and cash flow statements for annual plan and reforecast.
  • Maintain and update list of account and related banking power.
  • Fund planning including investment of excess cash, dividend distribution and consolidation of cash in Asia and application of funds including Capex Management.
  • Forex Management in Different Currency
  • Sensitivity Analysis for Forex Exposure in the business

Accounting and IFRS 9

  • Ensure compliance with accounting policies and procedures.
  • Ensure internal controls over cash processes are robust.
  • Proactively identify process improvements.
  • Support interim and annual audits.

Corporate Finance and Other

  • Maintaining trade finance facilities, short term bank facility, and guarantee issuance.
  • Assists with insurance, real estate management or specialized financing as needed.
  • Perform ad hoc requests and special projects on an ongoing basis such M&A, due diligence, or internal restructurings.

AR and AP Management

  • Lead and mentor the AR and AP teams, fostering a culture of continuous improvement and professional development.
  • Collaborate with internal departments and external partners to resolve discrepancies and improve cash flow.
  • Monitor and manage credit risk associated with receivables.
  • Ensure adherence to all financial regulations and company policies.
  • Present weekly and monthly financial reports related to AR and AP performance to senior management.

Key Requirements

  • At least 8 years of treasury experience in multinational corporations, with substantial exposure to Asia markets.
  • Bachelor's degree in Finance, Accounting, or a related field. A professional certification such as CFA, ACT, CPA, or CTP will be highly regarded.
  • Strong knowledge of financial management, accounting principles, and regulations in Asia location.
  • Proficiency in FX management, cash flow forecasting, and banking structures across multiple geographies.
  • Good knowledge and experience in payment/ settlement systems.
  • Excellent analytical, problem-solving, and decision-making skills.
  • Strong leadership and team management abilities.
  • Excellent communication and interpersonal skills.

We offer an attractive remuneration package including 5-day workweek, discretionary bonus, medical scheme and bank holidays to the right candidate. If you aspired to an exciting and rewarding career, please send a full resume with the expected salary and available starting date by clicking "APPLY NOW" to the Human Resources Department.

To know more about us, please visit our website at

(Personal data collected will be kept confidential and used for recruitment purposes only.)

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Regional Treasurer Asia

$70000 - $120000 Y Chargeurs PCC Fashion Technologies

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Job Description

Chargeurs PCC Fashion Technologies
is the global leader in interlinings and inner components for the fashion and luxury goods industries, providing comprehensive solutions to the world's best brands. Though invisible to the eye, interlinings are technical fabrics that are essential for structure, durability, and longevity of garments. As a true global company, we have nine factories and more than thirty offices and distribution hubs around the world. This allows us to service more than ninety countries across every major continent.

For our branch in
Hong Kong
, we are looking for a
Regional Treasurer
, who will be responsible for the cash management across the region. The role will also take a regional lead on treasury and banking activity in coordination with Corporate.

Key Responsibilities:

  • Monitor and follow-up currency risk exposure (transactional / economic) and provide guidance to regional management when needed.
  • Execute current and future FX in line with company standards and operating procedures.
  • Coordinate administrative efforts for hedge trades, confirmations, and settlements.
  • Complete reporting materials preparation for regional and divisional management.
  • Responsible for accurately executing cash transactions, including bank transfers and AP payments.
  • Actively support Credit Controls and ensure good practice across the region.
  • Assists FP&A with developing key inputs into the balance sheet, income statements and cash flow statements for annual plan and reforecast.
  • Maintain and update list of account and related banking power.
  • Fund planning including investment of excess cash, dividend distribution and consolidation of cash in Asia and application of funds including Capex Management.
  • Sensitivity Analysis for Forex Exposure in the business.
  • Ensure compliance with accounting policies and procedures.
  • Ensure internal controls over cash processes are robust.
  • Support interim and annual audits.
  • Maintaining trade finance facilities, short term bank facility, and guarantee issuance.
  • Assists with insurance, real estate management or specialized financing as needed.
  • Lead and mentor the AR and AP teams, fostering a culture of continuous improvement and professional development.
  • Monitor and manage credit risk associated with receivables.
  • Present weekly and monthly financial reports related to AR and AP performance to senior management.

Key Requirements:

  • Bachelor's degree in finance, accounting, or a related field. A professional certification such as CFA, ACT, CPA, or CTP will be highly regarded.
  • Strong knowledge of financial management, accounting principles, and regulations in Asia location
  • Proficiency in FX management, cash flow forecasting, and banking structures across multiple geographies.
  • At least 8 years of treasury experience in multinational corporations, with substantial exposure to Asia markets.
  • Good knowledge and experience in payment/settlement systems.
  • Excellent analytical, problem-solving, and decision-making skills.
  • Strong leadership and team management abilities.
  • Passion, initiative, autonomy.
  • This role may require occasional travel within the Asia region.
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Assistant Treasurer – Project Finance

$1200000 - $2400000 Y MTR 港鐵

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Job Description

Assistant Treasurer – Project Finance & Documentation (Ref: XF)

Responsibilities

  • Support the Corporation's growth business in Chinese Mainland and overseas by spearheading negotiation with banks on non-recourse project finance and financing lease to provide cost effective debt financing for railway and property development projects, bids and performance bonds for railway operating franchises.
  • Ensure compliance, proper drafting and execution of documentation for all financing related legal and statutory requirements, including financing transactions and derivative hedging instruments, loan administration to safeguard and enhance the Corporation's commercial and legal interests.
  • Manage the evaluation of alternative funding proposals, negotiation of best possible commercial terms, related loan agreement and investment solutions, preparation of relevant management analysis, reports, recommendations and executive papers for senior executives.
  • Conduct risk assessment and review the implication of changes in capital control, foreign exchange, infrastructure investment, property development as well as banking and securities regulatory regimes which may affect the Corporation's legal and statutory compliance and reporting requirements.
  • Assist the Treasurer in the structuring, negotiation, execution and documentation of significant corporate funding transactions including bond and medium term note issues, syndicated and bilateral loans, export credits, cross-border leasing transactions, derivative transactions and money market lines.
  • Manage the updating and filing of required reports and information including the annual update of the Corporation's listed debt issuance programme and collaboration with external auditors, legal counsels and the dealer groups for improvement of the terms and conditions of the programme.
  • Control and monitor all loan administration, execution of loan drawdown, rollover, repayment, bond insurance and redemption to comply with the undertaking and relevant agreements to ensure corporate governance and effective internal control.
  • Closely work with Investor Relations Department to facilitate communication and promotion of Corporation's image and status in the financial community through preparing responses to banks, rating agencies, export credit agencies and bond investors.
  • Lead and develop a team of professional staff to enhance operational effectiveness and efficiency.

Requirements

  • Degree in Business Administration, Finance, Economics, Law or relevant discipline.
  • A minimum of 15 years' experience in debt financing or documentation at corporate level, banking or legal field, of which at least 8 years should be at managerial level.
  • Solid experience in regulatory requirements such as capital control, foreign exchange, infrastructure investment, property development, banking and securities, commercial and marketing practices in project finance especially in Chinese Mainland.
  • Strong knowledge of common provisions in loan agreements, bond indenture, ISDA Master Agreement, cross border leasing in local and international markets, US dollar debt capital market.
  • Excellent communication and stakeholder management skills with good command of both English and Putonghua.

Remarks

  • Appointment will be made on two-year renewable contract terms

Applications

You are invited to apply online via or send in your CV stating the position (with reference number) you are applying for by mail to Human Resource Management Department, MTR Corporation, G.P.O. Box 9916, Hong Kong on or before 23 October

For other job openings, please visit MTR Corporation's website for more details.

All information provided by applicants will be treated in strict confidence and used for recruitment purpose only. All personal data of unsuccessful applicants will be retained for 12 months for future recruitment purpose and will then be destroyed.

Primary Location: Hong Kong

Schedule: Full-time

Job Posting: 09/Oct/25, 10:55:29 PM

Closing Date: 23/Oct/25, 10:59:00 AM

Job Number: XF

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Financial Reporting Director

$120000 - $240000 Y AXA Hong Kong and Macau

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Job Description

About AXA Hong Kong and Macau

AXA Hong Kong and Macau is a member of the AXA Group, a leading global insurer with presence in 50 markets and serving 95 million customers worldwide. Our purpose is to act for human progress by protecting what matters.

As one of the most diversified insurers in Hong Kong, we offer integrated solutions across Life, Health and General Insurance. We are the largest General Insurance provider and a major Health and Employee Benefits provider. Our aim is to not only be the insurer to provide comprehensive protection to our customers, but also a holistic partner to the individuals, businesses and community we serve. At the core of our service commitment is continuous product & service innovation and customer experience enrichment, which is achieved through actively listening to our customers' needs and leveraging and investing in technology and digital transformation.

We embrace our responsibility to be a driving force against climate change and a force for good to create shared value for our community. We are proud to be the first to address the importance of mental health through different products and services and thought leading iconic research. Our overall Sustainability Strategy, with emphasis on climate strategy and biodiversity commitment, is developed based on TCFD recommendations. We are committed to integrating environmental, social and governance factors across our business and strive to contribute to a sustainable future through 3 distinct roles - as an investor, an insurer and an exemplary company.

AXA is an equal opportunity employer. We are committed to promoting Diversity and Inclusion (D&I) by creating a work environment where all employees are treated with dignity, respect, and where individual differences are valued. We welcome and treasure diverse profiles to join our big family, and to build an inclusive culture together which allows everyone to maximise their personal potential.

Our people strategies are designed to enhance employee well-being and professional growth, ultimately empowering them to excel within the company. Click here to learn more about our Benefits ) , Culture ), & Career Development ).

Responsibilities:

  • Ensure the appropriate structure, capability and governance of the financial reporting function to deliver business objectives.
  • Ensure that timely and accurate financial reports, analyses, interpretations and advice are produced in compliance with the relevant financial reporting regulatory and statutory regulations in HK and for Group financial reporting in France, enabling sound business decisions and subsequent action plans that minimise risk whilst maximising opportunity.
  • Develop and implement financial reporting processes, procedures and systems applied to AXA HK
  • Contribute to the continuous improvement of financial systems, procedures and processes to ensure the efficient and effective operation of the financial reporting function.
  • Drive and manage Finance BAU and transformational projects in financial reporting functions; fulfil responsibilities on relevant transformation projects and committees to achieve business goals.
  • Collaborate with a broad range of internal (e.g. business leaders, finance team) and external stakeholders (e.g. external auditors) on reporting activities and deliver business insights
  • Ensure a competent and motivated team to meet business challenges and objectives

Qualifications:

  • Qualified CPA or equivalent
  • At least 10 years of relevant experience in managing finance, actuarial, or a related field
  • Previous working experience in insurance or financial services industry is preferred
  • Strong business acumen and change management skills
  • Proven record in leading teams and stakeholder management
  • The ability to resolve problems swiftly and effectively by applying
  • both a tactical and strategic lens
  • Capable of quickly analyzing and understanding numerical information to derive useful business intelligence for informed decision-making.
  • Able to quickly analyse and understand numerical information and derive useful business intelligence to inform decisions
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Financial Reporting Director

$120000 - $240000 Y AXA

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Job Description

  • Vertical Square 28 Heung Yip Road, Wong Chuk Hang, HONG KONG, HK
  • FINANCE
  • 11296
  • HK Grade 7
  • Ching Man Myra CHEUNG
Job Description

Responsibilities:

  • Ensure the appropriate structure, capability and governance of the financial reporting function to deliver business objectives.
  • Ensure that timely and accurate financial reports, analyses, interpretations and advice are produced in compliance with the relevant financial reporting regulatory and statutory regulations in HK and for Group financial reporting in France, enabling sound business decisions and subsequent action plans that minimise risk whilst maximising opportunity.
  • Develop and implement financial reporting processes, procedures and systems applied to AXA HK
  • Contribute to the continuous improvement of financial systems, procedures and processes to ensure the efficient and effective operation of the financial reporting function.
  • Drive and manage Finance BAU and transformational projects in financial reporting functions; fulfil responsibilities on relevant transformation projects and committees to achieve business goals.
  • Collaborate with a broad range of internal (e.g. business leaders, finance team) and external stakeholders (e.g. external auditors) on reporting activities and deliver business insights
  • Ensure a competent and motivated team to meet business challenges and objectives

Qualifications:

  • Qualified CPA or equivalent
  • At least 10 years of relevant experience in managing finance, actuarial, or a related field
  • Previous working experience in insurance or financial services industry is preferred
  • Strong business acumen and change management skills
  • Proven record in leading teams and stakeholder management
  • The ability to resolve problems swiftly and effectively by applying
  • both a tactical and strategic lens
  • Capable of quickly analyzing and understanding numerical information to derive useful business intelligence for informed decision-making.
  • Able to quickly analyse and understand numerical information and derive useful business intelligence to inform decisions

About AXA Hong Kong and Macau

AXA Hong Kong and Macau is a member of the AXA Group, a leading global insurer with presence in 50 markets and serving 95 million customers worldwide. Our purpose is to act for human progress by protecting what matters.

As one of the most diversified insurers in Hong Kong, we offer integrated solutions across Life, Health and General Insurance. We are the largest General Insurance provider and a major Health and Employee Benefits provider. Our aim is to not only be the insurer to provide comprehensive protection to our customers, but also a holistic partner to the individuals, businesses and community we serve. At the core of our service commitment is continuous product & service innovation and customer experience enrichment, which is achieved through actively listening to our customers' needs and leveraging and investing in technology and digital transformation.

We embrace our responsibility to be a driving force against climate change and a force for good to create shared value for our community. We are proud to be the first to address the importance of mental health through different products and services and thought leading iconic research. Our overall Sustainability Strategy, with emphasis on climate strategy and biodiversity commitment, is developed based on TCFD recommendations. We are committed to integrating environmental, social and governance factors across our business and strive to contribute to a sustainable future through 3 distinct roles - as an investor, an insurer and an exemplary company.

AXA is an equal opportunity employer. We are committed to promoting Diversity and Inclusion (D&I) by creating a work environment where all employees are treated with dignity, respect, and where individual differences are valued. We welcome and treasure diverse profiles to join our big family, and to build an inclusive culture together which allows everyone to maximise their personal potential.

Our people strategies are designed to enhance employee well-being and professional growth, ultimately empowering them to excel within the company.

Click here to learn more about our Benefits ) , Culture ), & Career Development ).

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AVP, Financial Reporting

$60000 - $120000 Y DBS Bank

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Job Description

Business Function

Group Finance aims to deliver world-class standards in reporting, financial planning andfinance processes. We provide insights and analyses that help the bank make soundbusiness decisions – whether in the areas of product development or customer profitability. We also provide capital management, business planning, forecasting, and tax andaccounting advisory services.

Responsibilities

  • Responsible for DBS HK entities financial and regulatory reporting process (covering HKMA, SFC and SG MAS regulatory reporting)
  • Oversight the preparation of financial statements in compliance with local accounting standard and HKMA disclosure requirements
  • Supervise a team to ensure timely and accurate submission of head office reporting and regulatory returns
  • Coordinate financial disclosure and regulatory reporting of the new requirements
  • Perform assessment on the accounting and regulatory reporting treatment for current / new products and business, including general ledger booking logic and the financial and regulatory reporting impact
  • Perform impact assessment and work with relevant department to implement new accounting standards and regulatory changes
  • Representing Finance in cross bank system implementation and process change and financial system change experience preferred
  • Have desire to drive changes and automation with an objective to improve efficiency and enhance control
  • Manage internal and external audits, and financial disclosures review

Requirements

  • Degree holder in Accounting, Finance or related disciplines and a qualified accountant
  • Minimum 6 years' relevant experience in financial institutions (primarily locally incorporated banks with SFC licensed entity exposure) or Big 4 audit firms and currently in managerial level
  • Strong knowledge on banking products and related accounting and regulatory reporting treatment
  • Good knowledge on financial control framework for banks
  • Good writing skills, communication and interpersonal skills
  • Experience in driving automation or digital solution initiatives is an advantage
  • Attentive to details and accuracy and drive for process efficiency
  • Self-motivated and able to work independently
  • en

Primary Location
Hong Kong-One Island East

Job
CTLH

Schedule
Regular

Job Type
Full-time

Job Posting
Oct 14, 2025, 8:00:00 AM

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Financial Reporting Manager

$150000 - $250000 Y BingX

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Job Description

About BingX

  • A leading crypto exchange since 2018
  • With 20 million registered users worldwide
  • Official crypto exchange partner of Chelsea FC
  • User-First, reliable, innovative, and diversified
  • List over 1,000 spot trading pairs
  • Offer over 300 futures trading pairs
  • Integrate with over 80 public chain ecosystems
  • Rank top on CoinMarketCap and CoinGecko
  • TradingView's Best Crypto Exchange for 2021, 2022 & 2023
  • A gateway for the next billion crypto users

Founded in 2018, BingX is a leading cryptocurrency exchange, serving over 20 million users worldwide. BingX offers diversified products and services, including spot, derivatives, copy trading, and asset management – all designed for the evolving needs of users, from beginners to professionals.

BingX is committed to providing a trustworthy platform that empowers users with innovative tools and features to elevate their trading proficiency.

Our current vacancy | Full-time | Long-term

Responsibilities

  • Oversee the preparation, review and analyze financial statements to ensure accuracy and compliance with accounting standards (e.g., GAAP/IFRS).
  • Lead month-end and year-end financial reporting processes, including journal entries adjustment, reconciliations, and variance analysis.
  • Coordinate the tax obligation for each jurisdiction and liaise withexternal tax advisers.
  • Manage tax compliance and reporting, ensuring timely and accurate ffling of tax returns
  • Develop and implement financial workflows and procedures.
  • Implement strategies to minimize errors in financial reporting andd optimize resource allocation.
  • Partnering with IT and finance teams to implement new financialsystem upgrades and integrations.
  • Collaborate with other departments to support business objectives.
  • Oversee general ledger management, including reconciliaticons and maintenance of accurate financial records.

Requirements

  • Bachelor's degree in Accounting, Finance, or a related field.CPA or equivalent certification preferred.
  • Minimum of 5-7 years of experience in financial accounting aand reporting, with at least two years senior role or similar.
  • Strong knowledge of IFRS, local accounting standards and tax reggulations.
  • Excellent analytical and problem-solving skills.
  • Proficient in accounting software(e.g., Xero) and Microsoft Cffice Suite, particularly Excel.
  • Strong communication and interpersonal skills.
  • Proficient in spoken and written Mandarin and English.
  • Proven ability to handle multiple tasks and meet deadlines ina fast-paced environment.
  • High attention to detail and accuracy.

Working at BingX

  • Join an international and diversified team
  • Great career development in a fast-growing company
  • Be part of the future of finance technology and achieve meaningful goals
  • Competitive market salary and fully remote/work-from-home flexibility
  • Flexibility to observe your local holiday calendar, alongside additional benefits
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