Assistant Treasurer - Financing and Risk Management (Ref: 250000X9) at MTR Corporation
, Hong Kong, China -
Full Time


Start Date

Immediate

Expiry Date

08 Jan, 26

Salary

0.0

Posted On

10 Oct, 25

Experience

10 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Finance, Accounting, Risk Management, Derivatives, FX, Interest Rate Risk, Team Leadership, Stakeholder Management, Analytical Skills, Market Development, Capital Markets, Hedging, Financial Reporting, Public Disclosure, Software Applications, Corporate Finance

Industry

Rail Transportation

Description
Responsibilities Lead the timely assessment, execution and monitoring of derivatives to effectively manage the FX and interest rate risk exposure portfolio of the Corporation. Formulate and execute the financing and hedging strategies/ plans to support the Corporation’s growth business and meet the Corporation’s funding requirement in accordance with the approved budget and preferred debt profile. Assist the Treasurer in the assessment and deployment of derivatives relevant to the planning and execution of financing transactions including bond issues, hybrid capital, structured project-level finance and syndicated loans. Responsible for the derivatives’ risk assessment and regular financing and risk management reports, Executive and Board papers, discussion materials and recommendations. Lead and develop team members in the execution of hedging transactions, foreign exchange and investment of surplus funds to ensure appropriate accounting and public disclosure of derivative transactions in compliance with the applicable standards and requirements; ensure the team competencies and future readiness to enhance operational effectiveness and efficiency. Coordinate and work effectively with internal and external stakeholders including banks, Financial Control, Audit, Legal & Governance Departments to ensure that matters relevant to derivatives and shareholders’ dividend/ payments is timely and accurate. Offer technical advice and engagement with senior management in relation to market development, interest rate, foreign currency trends to facilitate the formulation of preferred financing model and business decisions. Requirements Degree in Finance, Accounting or relevant discipline. Possession of a recognized professional qualification in accounting or risk management is desirable. A minimum of 15 years’ experience in pre and post trade operational management of derivatives execution, FX and interest rate risk assessment and reporting, and thorough understanding of ISDA and CSA documentation, of which at least 8 years should be at managerial level with team leadership responsibilities. A track record of experience in foreign exchange, capital markets and risk hedging in major financial institutions or corporations with familiarity of using market data software and platforms, good understanding of accounting standards relevant to derivatives is required. Strong teamwork, analytical and stakeholder management skills with good command of both written and spoken English (Chinese is preferred). Practical knowledge of software applications including presentation and spreadsheet, and relevant knowledge of corporate finance / treasury systems are essential. Remarks Candidates with less experience will be considered for the Senior Treasury Manager - Financing and Risk Management position Applications You are invited to apply online via http://www.mtr.com.hk/mtr_job_en or send in your CV stating the position (with reference number) you are applying for by mail to Human Resource Management Department, MTR Corporation, G.P.O. Box 9916, Hong Kong on or before 23 October 2025. For other job openings, please visit MTR Corporation's website for more details. All information provided by applicants will be treated in strict confidence and used for recruitment purpose only. All personal data of unsuccessful applicants will be retained for 12 months for future recruitment purpose and will then be destroyed.
Responsibilities
Lead the assessment, execution, and monitoring of derivatives to manage FX and interest rate risk exposure. Formulate and execute financing and hedging strategies to support the Corporation’s growth and funding requirements.
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