Job Description
Are you passionate about managing liquidity and optimizing treasury operations in a dynamic, multi-currency environment? We are seeking a skilled Treasury Analyst to ensure efficient cash and liquidity management, risk management and banking compliance across TotalEnergies’ operations in Malaysia.
Activities
Your Impact
As a key member of the Finance team, you will:
- Manage and monitor daily cash positions and short-term funding requirements.
- Perform cash flow forecasting and variance analysis to ensure liquidity and identify trends and anomalies.
- Monitor and facilitate intercompany loan transactions, loan interest payments, banking facilities and dividend payments.
- Identify short term FX needs from payment schedules and execute FX deals in line with company policy to manage foreign exchange risk.
- Handle bank accounts administration including bank signatories’ updates, KYC compl...
Apply for this Position
Ready to join TOTAL Deutschland GmbH? Click the button below to submit your application.
Submit Application