Senior Treasury Manager, Asia Pacific

  • Room 2201, 22/F Octa Tower, 8 Lam Chak Street, Kowloon Bay, Hong Kong, Non-US, hk
  • Full-time

Company Description

Avery Dennison (NYSE: AVY) is a global leader in pressure-sensitive and functional materials and labeling solutions for the retail apparel market. The company's applications and technologies are an integral part of products used in every major industry. With operations in more than 50 countries and more than 25,000 employees worldwide, Avery Dennison serves customers in the consumer packaging, graphical display, logistics, apparel, industrial and healthcare industries. Headquartered in Glendale, California, the company reported sales of $6.1 billion in 2016. Learn more at www.averydennison.com

Job Description

ABOUT YOUR ROLE

You will be second in seniority to the regional Treasury Director and have two staff reporting to you.

Being a key member of the Asia Treasury team, this role will serve as an advisor and consultant to our three business divisions across Asia Pacific. This role will also maintain effective partnerships with cross-functional internal and external stakeholders, and drive efficiencies to build a best in class treasury function. This role is also part of a wider global treasury team who work together to build a better service and relationship throughout the company.

This role will be working in a collaborative, dynamic and fast-paced environment.  You will have exposure to a wide variety of treasury areas, with a focus on Foreign Exchange (FX) risk management and working capital optimization, and will be responsible for driving both global and regional treasury initiatives.

 

YOUR RESPONSIBILITIES WILL INCLUDE

  • Recommend FX hedging strategies via analyzing foreign currency exposure.

  • Continuously improve FX processes, systems and analytic tools.

  • Recommend optimal funding options and capital structures for business projects and M&A.

  • Provide various banking solutions to improve working capital targets.

  • Oversee cash management operations.

  • Drive regional and global treasury initiatives, such as cash concentration projects, cash repatriation and intercompany loan optimization projects.

  • Coach and provide knowledge sharing to junior team members.

Qualifications

 

  • A degree in Finance or related discipline required

  • At least 6 years' relevant experience in a Corporate Treasury, Finance or Accounting

  • ACT or CTP or a recognized professional accountancy/treasury qualification

  • Sound exposure to, and technical knowledge of, FX, cash management and bank products

  • Experience with US multinational companies is advantageous

  • Experience managing people, and a treasury workstation

  • Proven ability to work as part of a team, and across a cross-functional team

  • Excellent problem-solving and analytical skills, with strong attention to detail

  • Strong relationship builder and cross-functional partner

  • Excellent communication and interpersonal skills

  • Self-motivated, and able to work independently and under pressure

  • Proficiency in both spoken and written English and Chinese

 

AVERY DENNISON IS AN EQUAL EMPLOYMENT OPPORTUNITY PROVIDER

 

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