BeiGene continues to grow at a rapid pace with challenging and exciting opportunities for experienced professionals. When considering candidates, we look for scientific and business professionals who are highly motivated, collaborative, and most importantly, share our passionate interest in fighting cancer.
Job Description : BeiGene, a global, commercial stage biopharmaceutical corporation is looking for an innovative Director of Treasury to provide strategic leadership to the Treasury function of the organization.
This person will develop and manage the Company’s liquidity, including but not limited to : investment / portfolio management, managing liquidity among various regions, developing the currency hedging program, maintaining relationships with banks and negotiating potential debt transactions, and managing the operational treasury functions of the organization.
This position reports to the Vice President of Global Accounting and interacts with key stakeholders in the Accounting, Tax, Finance, Legal and Internal Audit functions of the organization.
The position is also responsible for managing a team, establishing and improving relationships, and designing and implementing best practices in treasury processes to support the growth of our dynamic company.
Key Responsibilities Lead the planning and execution of BeiGene’s investment and borrowing strategies. Collaborate with internal stakeholders to ensure subsidiaries’ capital structures are consistent with business, tax and regulatory requirements.
direct accounting and reporting related to these transactions. Develop and support Treasury policies, procedures, and controls to ensure consistency throughout the global organization Protect company assets by establishing, monitoring and enforcing internal controls.
Direct a team of Treasury professionals with overall responsibility for making payments and collecting receipts throughout the organization.
Evaluate, analyze and manage our investments with our investment advisors. Direct the accounting on a monthly and quarterly basis for our investments Prepare and present the interest income and expenses (and impact of hedging transactions) from our investment activities to upper management, the audit committee and board of directors.
Qualification Required : A bachelor’s degree in business administration, finance, accounting, or economics is required. CFA and / or MBA is preferred.
A minimum of 10 years of Treasury and Finance experience at a multinational company is required. Hands-on experience in the China banking industry is a must.
A team player with the ability to work collaboratively in a global organization. Experience with host-to-host and ERP payment solutions Ability to drive results in a fast-paced / deadline-oriented environment Sense of urgency and adaptability to changing environment.
Excellent quantitative, analytical and financial skills. Excellent English and Mandarin oral and written communication skills, along with the ability to communicate and negotiate with a variety of internal and external partners. Follow Us on MoSeeker!