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Treasury Analyst III - FX & Analysis (12 months contract) (Global Business Services)

Treasury Analyst III - FX & Analysis (12 months contract) (Global Business Services)

Job Description

Join the team behind iconic brands like Huggies®, Kotex®, Poise®, Depend®  At Kimberly-Clark, it’s all here for you—innovation, growth, and the chance to make a real impact. 

You’re not the person who will settle for just any role.

Neither are we.

Because we’re out to create Better Care for a Better World, and that takes a certain kind of person and teams who care about making a difference.

Here, you’ll bring your professional expertise, talent, and drive to building and managing our portfolio of iconic, ground-breaking brands.

In this role, you’ll help us deliver better care for billions of people around the world.

It starts with YOU.  

About You

You perform at the highest level possible, and you appreciate a performance culture fueled by authentic caring.  You want to be part of a company actively dedicated to sustainability, inclusion, wellbeing, and career development.

This is a 12 months contract experience hire in regional role that contributes to company’s success by managing the FX risk and strategic analysis of capital structure, workings capitals and longer plannings.

This role will be reporting to both the Treasury FX & Markets leader and a dotted line to Regional Treasury Manager.


* Analyses FX risk, plan, and execute hedging strategies and settlements with banks consistent with FX policies of the organization.


* Analysing and building financials, Capital Structure and FX exposures of Company, understanding requirements, plan ahead, communicate and report to stakeholders.


* Working along with Treasury Front Office and Back Office in executing planned strategies, driving corporate activities and delivering timely results.


* Communicating confidently to stakeholders on Treasury matters, follow-ups and closure.


* Be a treasury partner of the organization


* Other tasks as required by supervisor

 

To succeed in this role, you will need the following qualifications:

Required Qualifications


* Good command of English and ability to articulate thoughts clearly, written and verbal.


* Having mandarin proficiency is an added advantage


* Good report writing and influential presentation capabilities is a must (excel, words and power point)


* Analytical, inquisitive and reciprocative to other functions


* Good understanding of information system, workflows and technologies in workplace

 

Preferred Qualifications


* Have a strong functional knowledge of treasury. The incumbent must be a confident in making decisions within authority limit.


* Good business acumen and understands cross-function interdependencies.


* Have a Bachelor degree in accountancy/finance or a related field, with at least 8 years of experience in the financial area.


* Experience with a Treasury Management System, particularly Quantum, and knowledge of SAP, Anaplan and Fi...




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