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Director, Group Treasury

Esr Group

The Role

Overview

Lead treasury strategy, funding, risk management for real asset portfolio

Key Responsibilities

  • debt management
  • treasury projects
  • funding strategy
  • risk hedging
  • market monitoring
  • capital transactions

Tasks

-Collaborate with internal teams (Legal, Group Finance (including Tax, FP&A, Fund Finance) to support financing transactions and ensure regulatory and operational compliance. -Provide strategic input into treasury policy, governance, and risk management frameworks. -Lead treasury-related projects and initiatives, including system upgrades and process improvements. -Manage the group’s debt portfolio, ensuring optimal capital structure and cost of funds across various jurisdictions and asset classes. -Maintain and enhance relationships with banks, lenders, and financial institutions to support funding needs and strategic initiatives. -Advise business units on FX, interest rate, and liquidity risks, recommending appropriate hedging and risk mitigation strategies -Implement and execute short-term investment strategies. -Monitor global market developments and assess potential impacts on the Group’s financial position -Develop and implement Group’s funding strategy in line with business growth and capital structure objectives. -Support capital market transactions including syndicated loans, revolving credit facilities, and bond issuances.

Requirements

  • debt instruments
  • treasury systems
  • financial modeling
  • real estate
  • mba
  • cfa

What You Bring

-The ideal candidate will bring deep expertise in corporate finance, debt instruments, and treasury operations, with understanding of the real estate investment landscape. -We are seeking a seasoned and strategic Director, Group Treasury.. The role combines strategic funding responsibilities with hands-on execution, alongside providing financial risk management advisory for the Group and shaping Treasury policies. -Bachelor’s degree in Finance, Economics, Accounting, or related field; MBA or CFA preferred. -Excellent stakeholder management and negotiation skills. -Familiarity with treasury systems and financial modeling tools. -Minimum 10 years of experience in corporate treasury or banking, with significant exposure to real estate investment or asset-heavy industries. -High level of integrity and professionalism. -Strong analytical, strategic thinking, and communication skills. -Ability to thrive in a dynamic, deal-driven environment. -Strong leadership and team collaboration skills. -Proven track record in managing complex debt portfolios and executing loan paydown strategies. -Strong understanding of real estate financing structures, including project finance, fund-level debt, and cross-border transactions.

The Company

About Esr Group

-Focus on development, ownership, and management of prime industrial and commercial properties. -Presence across Asia-Pacific and beyond, operating in key markets such as China, Japan, and Australia. -Strong financial backing and impressive portfolio, expanding global reach. -Projects include large-scale distribution centers, warehouses, and mixed-use commercial developments. -Expertise spans logistics, real estate management, and industrial property development. -Distinguished by innovative approach to sustainable and efficient property solutions.

Sector Specialisms

Industrial

Commercial

Logistics

Data Centres

Renewable Energy

Energy

Oil & Gas

Nuclear

Transport

Marine

Automotive

Aerospace

Manufacturing

Vacuum

Logistics Infrastructure

Residential

Buildings

Infrastructure

Heavy Civil

Solar

Wind

Water Resources

Utilities

Government