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Manager, Treasury; PRC Operation & Data Analytics

Job in Winnipeg, Manitoba, Canada
Listing for: Hkjcfootball
Full Time position
Listed on 2026-06-12
Job specializations:
  • Finance & Banking
    Financial Manager, Corporate Finance, Risk Manager/Analyst
Job Description & How to Apply Below
Manager, Treasury (PRC Operation & Data Analytics)
The Hong Kong Jockey Club
Founded in 1884, The Hong Kong Jockey Club ("the Club") is a world‑class racing club that acts continuously for the betterment of our society. The Club has a unique integrated business model, comprising racing and racecourse entertainment, a membership club, responsible sports wagering and lottery, and charities and community contribution. Through this model, the Club generates economic and social value for the community and supports the HKSAR Government in combatting illegal gambling.

The Division
The Finance Division is a key business partner, balancing oversight with support. With uncompromising integrity at its core, the division works proactively and collaboratively to deliver insights, enable solutions, and drive financial stewardship, contributing to the Club’s sustainable growth, operational excellence, and long‑term success.

The Department
Reporting to the  Deputy Executive Manager, Treasury , the  Manager, Treasury (PRC Operation & Data Analytics)  is primarily responsible for overseeing and managing  treasury operations related to the People’s Republic of China (PRC) , ensuring effective liquidity management, regulatory compliance, banking relationship management and cross‑border fund flows.

The role also supports the Treasury Department in applying  data analytics (approximately 20%)  to enhance cash flow forecasting, risk management and management reporting.

The Job
PRC Cash & Liquidity Management (Highest Priority)

Manage daily  PRC cash positioning , liquidity planning and funding requirements across onshore and offshore entities.

Oversee  RMB and foreign currency cash flows , including intercompany funding, dividend remittance and capital injections.

Support the design and operation of  PRC cash pooling and centralized liquidity structures , subject to regulatory constraints.

Monitor short‑and medium‑term cash flow requirements for PRC operations and coordinate funding arrangements with Head Office Treasury.

Liaise with PRC finance teams to ensure accurate cash flow forecasting and timely fund availability.

PRC Regulatory Compliance & Controls

Ensure treasury operations comply with  PRC regulatory and foreign exchange control requirements , including SAFE and PBOC regulations.

Prepare and coordinate required  regulatory filings, declarations and reporting  related to cross‑border transactions.

Monitor regulatory developments in the PRC and assess potential impacts on treasury structures and processes.

Support internal and external audits related to PRC treasury activities.

Banking Relationship & PRC Treasury Operations

Manage relationships with  PRC and international banks , including account opening/closure, mandate maintenance and service reviews.

Oversee  PRC e‑banking platforms , payment processing, balance enquiries and reconciliation.

Coordinate with IT and banks on  system connectivity, API adoption and cyber‑security controls  related to PRC treasury operations.

Identify opportunities to streamline PRC treasury processes, including automation and standardisation where appropriate.

Financial Risk Management (PRC Focus)

Monitor  FX, liquidity and counter party risks  arising from PRC operations.

Support the formulation and execution of  hedging strategies  for RMB and other PRC‑related currency exposures.

Identify unusual or irregular fund movements related to PRC accounts and elevate potential risks in a timely manner.

Data Analytics & Cash Flow Forecasting

Apply  data analytics techniques  to enhance PRC and group‑level cash flow forecasting accuracy.

Support the development and maintenance of  cash flow projection models , focusing on reducing forecast variances.

Assist in the design of dashboards and management reports to provide insights into liquidity, funding and risk exposures.

Support the migration of Excel‑based reports to  visual analytics platforms , where applicable.

To advise the Treasury team in the optimal data structure for setting up the treasury reporting database.

To provide technical assistance to the Treasury team in constructing the dashboards in Tableau.

Participate in treasury system enhancements,…
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