Role Description
This is a part-time hybrid role for a Corporate Treasurer/Treasury Manager based in Singapore, with some flexibility for remote work. The role involves managing the company's financial assets and liabilities, overseeing cash flow, developing financial strategies, and mitigating financial risks. Responsibilities also include maintaining relationships with financial institutions, ensuring compliance with financial regulations, and preparing detailed financial forecasts and reports to support business strategies and decision-making.
Qualifications
- Proficiency in financial management, cash flow management, and investment strategies
- Strong knowledge of risk management, regulatory compliance, and corporate finance principles
- Exceptional analytical and problem-solving skills, as well as experience with financial forecasting and reporting
- Advanced proficiency in financial software, spreadsheets, and data analysis tools
- Strategic thinking abilities to develop and execute treasury-related initiatives aligned with business objectives
- Effective communication and stakeholder management skills to build strong relationships with financial institutions and internal teams
- A bachelor's degree in Finance, Accounting, Economics, or a related field; professional certifications such as CFA, CPA, or CTP are an advantage
- Previous experience in corporate treasury, financial management, or a related field is highly desirable