Sr. Treasury Specialist (Bilingual - Korean)

SAMYANG AMERICA INC•Brea, CA
•$75,000 - $95,000

About The Position

Samyang America stands as the #1 Gen Z brand, boldly shaping the future of food culture with innovative flavors, viral trends, and unforgettable brand experiences. We don’t just create food - we craft moments that spark excitement, inspire connection, and celebrate bold individuality. Our mission is to bring daring, delicious products to the market that resonate deeply with the next generation of food lovers. From iconic spicy noodles to creative new launches, we are driven by passion, creativity, and a commitment to pushing the boundaries of taste and culture. At Samyang America, you’ll join a dynamic team that thrives on innovation, collaboration, and a shared love for bold flavor experiences. We value fresh ideas, energetic spirit, and the courage to lead trends rather than follow them. If you’re ready to be part of a brand that’s more than just food - a brand that moves culture and creates unforgettable moments - join our team today! We are looking to hire a Senior Treasury Specialist who will support daily treasury operations, including cash management, banking activities, payments, cash forecasting, and cash flow management. This role will manage bank reconciliations, journal entries, domestic and international banking activities, and intercompany funding while partnering closely with Accounting, overseas entities, headquarters, and banking partners.

Requirements

  • Bachelor's degree in Finance, Accounting, Economics, or Business Administration.
  • 4+ years of experience in Treasury, Accounting, or Finance operations.
  • Broad experience using various online banking systems for payments and account management.
  • Hands-on experience with SAP and the ability to utilize SAP for treasury, cash management, and financial reporting activities.
  • Solid understanding of cash management and financial reporting.
  • Practical experience preparing cash flow statements using both direct and indirect methods.
  • Strong analytical skills and attention to detail, especially in cash flow preparation and analysis.
  • Excellent communication and coordination skills for cross-functional collaboration.
  • Ability to handle time-sensitive tasks and work under tight deadlines.
  • Proficient in Microsoft Office.
  • Bilingual in English and Korean required.

Nice To Haves

  • Experience with overseas bank account management and international/cross-border payments is a plus.
  • Knowledge of FX transactions, cash pooling, or intercompany funding is a plus.
  • Experience in multi-entity, cross-border treasury operations is a plus.
  • Experience with multinational online banking platforms such as CitiDirect is a plus.

Responsibilities

  • Prepare, review, and process daily payments.
  • Execute wire, ACH, and other electronic payments via online banking systems.
  • Manage payment approvals to ensure timely and accurate disbursement.
  • Process domestic and international payments, including cross-border wire transfers and foreign currency payments.
  • Maintain and update bank account master data and signatory records.
  • Coordinate with banks for system access, user management, and issue resolution.
  • Support bank account opening, closing, and maintenance activities as needed.
  • Monitor and reconcile daily cash positions across all entities.
  • Forecast short- and mid-term cash requirements based on inflows and outflows.
  • Optimize cash utilization and coordinate intercompany funding as needed.
  • Utilize SAP and banking systems to monitor cash balances, payment transactions, and cash movements.
  • Prepare monthly and quarterly cash flow statements using both the direct and indirect methods.
  • Analyze and reconcile cash flow data between SAP, accounting records, bank transactions, and other financial systems.
  • Analyze key variances between forecasted and actual cash flows.
  • Maintain complete and accurate documentation of all treasury transactions.
  • Support internal and external audit requests and ensure K-SOX compliance where applicable.
  • Collaborate with IT and Accounting teams to resolve system interface issues and improve accuracy.
  • Monitor foreign currency transactions and support FX exposure analysis.
  • Coordinate with Accounting, FP&A, and other teams to ensure consistency of cash flow data and reporting.

Benefits

  • annual incentive bonus
  • medical/dental/vision insurance
  • life insurance
  • PTO/FTO
  • 401(k) plan with company match
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