Treasury & Financial Control Team Lead
Gefragte Skills
Stellenbeschreibung
Rakuten Travel Xchange ( ) is the accommodation wholesale and travel technology division within the Rakuten group. We distribute our global inventory and the directly negotiated rates of Rakuten Travel and Rakuten STAY. We enable our clients globally to send their guests anywhere in the world – all delivered through the latest scalable cutting-edge technology. This innovative platform serves as a pivotal bridge between travel suppliers and sellers, providing an extensive inventory of travel products such as flights and hotels. Rakuten Travel Xchange empowers both suppliers and sellers by offering an expansive global reach and enhancing revenue potential. It simplifies transactions, making it an efficient tool for businesses seeking to excel in the dynamic travel market.
The incumbent will serve as a strategic partner to senior leadership, balancing precision in daily cash operations with sophisticated FX risk management and rigorous financial forecasting. This role is pivotal in ensuring the stability of our global financial infrastructure and providing the data-driven insights necessary to support Rakuten’s international growth.
Responsibilities
Treasury & Cash Management
Oversee daily and weekly cash operations. Daily communication with banks. Review cash flow reports and make decisions on FX exposure positions (USD inflows / JPY outflows).
Review weekly cash flow and bank balance reports prepared by Precious
Manage USD receivable / JPY payable positions and determine FX conversion timing
Review weekly payment runs
Act as escalation point for bank inquiries, KYC, and VCC error resolution
Drive bank infrastructure projects such as SMBC account concentration
Management Accounting & Budgeting
Review P&L forecasts and budget variance analyses. Prepare management commentary for reporting and contribute to the annual budget cycle.
Review weekly P&L forecasts and align assumptions with business units
Prepare monthly budget variance analysis and present to management
Ensure accuracy of FX P&L details and verify proper reflection in financial reports
Support annual budget preparation and rolling forecast updates
FX Hedge Management
Lead execution of the FX hedge program. Responsible for managing FX forward contracts with financial institutions, monitoring hedge effectiveness, and maintaining and updating the hedge policy.
Execute FX forward contracts per hedge policy
Manage relationships and negotiations with FX/banking providers
Monitor hedge effectiveness and monthly FX P&L
Report FX risk positions to Finance Manager and senior management
Requirements
Degree in Finance, Accounting, Economics, or a related field. (Professional qualifications such as CFA, ACCA, or CTP/Certified Treasury Professional are a strong plus).
Minimum 5–7 years of experience in Corporate Treasury, Finance or Accounting
Hands-on experience in FX risk management (hedging, FX forwards, etc.) or international payments and remittances
Strong analytical skills in Management Accounting, with proven experience in P&L forecasting, budget variance analysis, and preparing financial commentary for senior management.
High-level proficiency in Excel and financial systems (e.g., ERP systems, Treasury Management Systems).
Excellent communication skills with the ability to translate complex financial concepts into clear, actionable insights for non-finance stakeholders.
Ability to work independently in a fast-paced, multicultural, and global business environment.
Rakuten is an equal opportunities employer and welcomes applications regardless of sex, marital status, ethnic origin, sexual orientation, religious belief or age.
Quelle: mycareersfuture.gov.sg. Für die Inhalte der Inserate übernehmen wir keine Haftung.
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