About this role
Treasury Analyst II – Liquidity & Fundings (12 months contract) (Global Business Services) at Kimberlyclark. Location: Kuala Lumpur, Federal Territory, Malaysia. Role: cash positioning, money market, forecast cashflow Requirements: Manage liquidity, cashflow, and funding; daily cash positioning; money market processing; stakeholder coordination. Category: Finance and Accounting Seniority: Mid Level Tools: Bank portals, HSBCnet, Citidirect, JPMorgan Access, Straight2bank Commitment: Full Time Workplace: Hybrid Languages: English, Chinese