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Responsibilities:
1. Bank Account & KYC Management
. Manage bank account opening, maintenance, and closure across multiple entities.
. Act as a key liaison with banks on KYC matters, including onboarding, periodic reviews, remediation requests and FATCA/CRS compliance.
. Prepare and coordinate KYC documentation.
. Maintain KYC records and follow up on outstanding requests.
2. Entity Documentation & Governance
. Maintain a central repository of entity documents, including board resolutions, signatory lists, and corporate updates.
. Ensure consistency between internal records and bank requirements.
. Coordinate updates with banks arising from changes in directors, authorised signatories, etc.
3. Treasury & Finance Operations
. Support daily treasury operations including payments, cash positioning, and reconciliations.
. Monitor cash balances across entities to support funding and liquidity needs.
. Assist in month-end close, cash reporting, and audit requests.
4. Controls & Compliance
. Ensure compliance with bank KYC requirements and Group policies.
. Maintain bank mandates, user access rights, and approval matrices.
5. Process & Stakeholder Coordination
. Liaise with banks, Legal, and Corporate Secretarial on documentation and governance matters.
. Support Treasury Management System (TMS) initiatives and process improvements.
6. Others
. Undertake any other ad-hoc duties as assigned.
Requirements:
. Bachelor's degree in Finance, Accounting, Business, or related field.
. 4-7 years of relevant experience in treasury operations, KYC process, or finance operations, preferably in a multi-entity environment.
. Meticulous and independent, with strong ability to coordinate effectively with internal and external stakeholders.
Job ID: 147864917
Skills:
regional regulatory standards, sanctions management, anti-money laundering, second-line oversight, financial crime compliance, international best practices for financial crime prevention, unilateral sanctions regimes
Skills:
GST filings, Internal Controls, Singapore tax compliance, general ledger entries, Forecasting, budgeting, quarterly consolidation, Cash Flow Management, audit preparation, Payroll Processing, Corporate Tax, Regulatory Submissions, Reconciliations
Skills:
regulatory standards , risk assessments, anti-money laundering, sanctions management, financial crime compliance, Transaction Monitoring, unilateral sanctions regimes
Skills:
Internal Controls, GST filings, Singapore tax compliance, general ledger entries, Forecasting, budgeting, Cash Flow Management, audit preparation, Payroll Processing, Corporate Tax, Regulatory Submissions, Reconciliations
Skills:
Powerbi, Netsuite, Systems Process Improvement, Business Partnering, e-claims systems, Accounting, Audit Compliance, Budgeting, BIPO, Financial Reporting
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