About the Role:
This role manages trade finance and treasury operations, including cash flow, credit risk, and fund movements. It works closely with banking partners and Korean‑speaking stakeholders to support business operations, while also leading a small team to ensure effective execution and control
Key Responsibilities:
- Manage trade finance transactions, including Letters of Credit, bank guarantees, and related documentation
- Oversee treasury operations, including cash flow forecasting, liquidity planning, and daily fund movements
- Monitor cash positions, working capital, and banking balances across accounts and currencies
- Perform credit risk assessments and manage credit limits and counterparty exposure
- Maintain and manage relationships with corporate banking partners
- Execute and control payments, intercompany funding, and foreign exchange transactions
- Liaise effectively with Korean‑speaking stakeholders and internal cross‑functional teams
Key Requirements:
- Degree in Finance, Accounting, Banking, or a related discipline
- Experience in trade finance, treasury operations, and cash flow management
- Knowledge of credit risk assessment and corporate banking practices
- Experience managing funds movement, payments, and FX transactions
- Strong communication skills with the ability to liaise with internal and external stakeholders
- Fluency in English and Korean to effectively communicate with Korean‑speaking stakeholders
- Strong attention to detail, analytical skills, and ability to work in a structured environment
Next Step
- Prepare your updated resume and expected package
- Apply through this application - we'd love to hear from you!
- Please note that only shortlisted candidates will be notified
Joey Low Jun Yi | Personnel Registration No. R 25126656
Joey Low Jun Yi
EA License No: 91C2918
Personnel Registration Number: R25126656