Treasury Manager
Treasury Manager
PERSOL Singapore Pte Ltd8-10 Years
- Posted 30 days ago
- Be among the first 10 applicants
Job Description
Brief Summary
Join a dynamic team as a Treasury Manager, where you will support financial operations through effective cash management, risk mitigation, and strategic capital advisory. Leverage your expertise to enhance the financial standing of the organization.
Responsibilities
- Oversee daily cash management and treasury functions, ensuring efficient group finance and trade operations.
- Coordinate cash flow positioning, loan drawdowns, and foreign exchange exposure hedging.
- Analyze and forecast cash collections and disbursements, facilitating month-end treasury reporting.
- Provide strategic insights and recommendations for optimizing working capital and reducing funding costs.
- Evaluate the cost of capital and funding structures to ensure optimal financing across the region.
- Analyze economic trends, providing financial outlook reports to support funding and capital planning decisions.
- Execute hedging strategies in line with the risk management policy to minimize currency exposure.
- Develop and implement global cash management policies that drive efficiency in the finance process.
- Review and enhance banking services, monitoring performance for potential savings or improved services.
- Manage banking relationships and oversee account administration, including openings and closures.
Requirements
- Minimum Bachelor's degree in Finance, Accounting, Business Management, or a related discipline.
- A minimum of 8 years of relevant treasury experience, particularly in regional or global contexts.
- CPA or CFA designation is preferred.
- Proficient in financial and accounting principles, with strong critical thinking skills.
- Familiarity with foreign currency exposure analysis and hedging strategies is advantageous.
- Excellent proficiency in Microsoft Office suite, particularly Excel.
- Previous experience in a banking environment is an added benefit.
- Capability to work effectively in a multi-cultural team setting.
More Info
Key Skills
global cash management policies
strategic capital advisory
foreign exchange exposure hedging
hedging strategies



