Sr. Director - Finance, FX Treasury - Visa - Singapore
Job description
Visa Inc. is a global payments technology company that connects consumers, businesses, financial institutions and governments in more than 200 countries and territories, enabling them to use digital currency instead of cash and checks.
Visa does not issue cards, extend credit or set rates and fees for consumers. Visa’s innovations enable its bank customers to offer consumers choices: Pay now with debit, ahead of time with prepaid or later with credit products. From the world’s major cities to remote areas without banks, people are increasingly relying on digital currency along with mobile technology to use their money anytime, make purchases online, transfer funds and access basic financial services. All of which makes their lives easier and helps grow economies.
Behind the Visa brand are our talented employees who continuously raise the bar with innovative solutions and products that deliver the convenience and security of digital currency to more people all over the world.
Position Summary
The successful candidate will have experience and demonstrated success in the following core competencies:
Foreign exchange trading and risk management program
Ability to work with cross functional teams
Strong treasury, foreign exchange, accounting, analytical/analysis and/or forecasting skills
Strong systems knowledge (Excel, Word, Access, PowerPoint, Oracle, etc)
Ability to work in a fast paced and dynamic environment
The candidate will interact with various levels of management across the organization as well as with external clients
Strong leadership and interpersonal skills are required as cross-functional projects occur on a regular basis
Responsibilities
Take a key role in Visa’s global foreign exchange and risk management program
Execute foreign exchange trades; coordinate with FX counterparties to resolve issues
Provide leadership in Asia Pacific / CEMEA region for preparation of monthly foreign exchange exposures and improve internal processes
Analyze FX settlement flows and implement changes to existing strategies
Manage external foreign exchange trading relationships in Asia Pacific
Prepare monthly foreign exchange and finance reports
Act as FX treasury liaison within the Asia Pacific / CEMEA region on various ASC 815 (hedge accounting) and FX risk management processes
Work effectively on cross-functional teams; interaction, influence and collaboration
Manage multiple initiatives in a dynamic environment; able to adapt quickly to changing priorities
Interact with senior management, business leaders, treasury, accounting and financial planning and analysis professionals
Communicate effectively with all external and internal customers
Qualifications
15+ years of treasury, corporate accounting, or financial planning and analysis experience with progressively increasing responsibilities
Bachelor's Degree required; MBA or advance degree preferred
Highly motivated partner who cultivates effective relationships with senior executives and staff, both inside and outside of the finance organization
Strong knowledge of the payments industry or experience working for a global financial institution
Demonstrated expertise in MS Office (i.e. Excel, PowerPoint and Word)
Strong interpersonal and communication skills and the ability to work collaboratively with others
Refer This Job To Your Friends And Help Them To Find Jobs!
Source:
Aaren