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General Manager & Director (Singapore) - Corporate Treasury

General Manager & Director (Singapore) - Corporate Treasury

Michael Page
12-14 Years
  • Posted 12 hours ago
  • Be among the first 10 applicants

Job Description

  • Lead a specialised treasury centre serving regional financial markets
  • Manage treasury operations across FX, liquidity and investments

About Our Client

Our client is a globally established multinational organisation with a significant international footprint and a long-standing presence across key markets worldwide. As part of a sophisticated global treasury network, the Singapore operation serves as a strategic hub supporting treasury and financial market activities across the Asia-Pacific region.

Job Description

Reporting to senior global treasury leadership, the successful candidate will:

  • Lead and oversee the overall operations, governance and performance of the Singapore entity.
  • Act as a Company Director and ensure adherence to corporate governance and regulatory requirements.
  • Drive financial performance, budgeting activities and operational effectiveness.
  • Supervise treasury operations across foreign exchange, liquidity management and short-term investments.
  • Manage key relationships with banking partners, regulators, auditors and external service providers.
  • Lead and develop a specialised team across treasury, finance, compliance and operational functions.
  • Ensure robust risk management, internal controls and compliance frameworks are maintained.

The Successful Applicant

  • Degree qualified in Finance, Economics, Business Administration or a related discipline.
  • 12+ years of experience within treasury, financial markets, banking or related financial services environments.
  • Demonstrated leadership experience managing teams, business functions or legal entities.
  • Strong expertise in foreign exchange markets, liquidity management and treasury operations.
  • Proven understanding of financial market risk, governance and control frameworks.
  • Experience managing budgets, financial performance and business objectives.
  • Track record engaging with senior executives, boards, financial institutions and external stakeholders.
  • Strong commercial acumen with the ability to balance risk management and business performance.
  • Ability to operate effectively within a complex multinational environment.

What's on Offer

This opportunity offers the chance to lead a high-impact regional treasury platform within a globally recognised multinational organisation. The successful candidate will gain significant exposure to international senior leadership, cross-border financial markets and strategic decision-making. The organisation promotes a collaborative and professional culture, provides ongoing learning and development opportunities, flexible working arrangements, comprehensive medical coverage, performance-based rewards and strong long-term career progression prospects within a global network.

Quote job ref: JN-092026-7095144

More Info

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Key Skills

foreign exchange markets

financial market risk governance

compliance frameworks

About Company