Our client is seeking a reliable and pro-active Finance & Treasury Manager. The ideal candidate should possess strong stakeholder management skills, and have passion in fund management and FX transactions.
Key Responsibilities
- Monitor and manage cash positions to ensure sufficient liquidity for operations and investments
- Support the CEO in reviewing investment portfolios and recommending ways to optimise returns
- Assist with foreign exchange (FX) transactions and banking activities
- Prepare cash flow forecasts, reconciliations, and financial reports for management
- Work with outsourced finance/accounting providers on month-end closings and reporting
- Ensure timely submission of statutory accounts, tax filings, MAS reports, and other regulatory requirements
- Build strong relationships with bankers, auditors, legal advisors, and regulators
- Take on ad-hoc projects and assignments to support business needs
Key Requirements
- Degree or diploma in Finance, Accounting, Economics, or related field
- Experience in banks or financial institutions with treasury/FX exposure is an advantage
- Proficient in Microsoft Office
- Strong analytical, problem-solving, and communication skills
- Organised, adaptable, and able to manage deadlines in a fast-paced environment
- Prior experience in fund or fund management accounts is preferred but not required
How To Apply
Interested candidate, please submit your updated resume in MS WORD Format to:
Email [Confidential Information] or call your Friendly Consultant, Rachel Wee (Reg. No: R25128207), at
6590 9969 or
WhatsApp 9115 3252 for a confidential discussion.
Please Indicate The Below Information In Your Resume
- Current & Expected salary
- Reason(s) for leaving
- Availability to commence work
YOUR SUCCESS IS OUR ACHIEVEMENT!