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L’Oréal Malaysia is seeking a seasoned Treasury/FP&A professional to strengthen cash flow forecasting, FX management and analytical treasury work. You will partner with country teams to review forecasts, prepare monthly cash flow reports, and support budget cycles.
The role involves cross-functional collaboration and driving process improvements in a fast‑growing environment. Ideal candidates have 4–5 years in treasury/FP&A, strong analytical skills, English fluency, and ACCA/CPA or equivalent.
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