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We fuel the ideas and ambitions of our people with an environment built on Our DNA of Love, Entrepreneurship, Agility, and Passion – LEAP
We are a culture that empowers everyone to innovate and create solutions that will leave a positive impact on our communities and our nation, Touch n Go will always be here to inspire our talents to grow as leaders and innovators giving you the power to make a difference.
Job Brief:
This role will take full ownership of core treasury functions, including cash flow management, liquidity optimization, banking and trustee relationship management, Forex hedging, and financial risk mitigation. A key focus will be on implementing strategic fund pooling structures across subsidiaries, jurisdictions, and currencies to enhance cash utilization and yield.
The position also entails oversight of treasury technology tools, regulatory compliance, and process automation to support scalable operations. Success in this role will require strategic thinking, strong execution skills, and effective cross-functional collaboration in a dynamic, fast-paced fintech or financial services environment.
Job Responsibilities:
Cash Flow Management & Fund Optimization
Banking & Trustee Relationship Management
Liquidity & Investment Oversight
Treasury Risk Management (Forex & Interest Rate)
Treasury Tools, Reporting & Compliance
Process Optimization & Team Development
Job Requirements:
Job ID: 146955193
Skills:
merchant journeys, cross-border payments process, cross-border e-commerce operating models, AI automation, partner onboarding, integration approaches, channels and connectivity, Analytical Skills, large datasets
Skills:
process reengineering , SAP, Uipath, Alteryx, Rpa, Power Bi, Erp, Tableau, Automation Tools, Excel Macros, Excel, Oracle, finance operations processes, Analytical Skills, data visualization tools, Process Mapping, Lean Six Sigma methodologies, finance systems
Skills:
Excel, Liquidity Management, financial institutions, banking facilities, Financial Modelling, Cash Flow Forecasting, funding strategies
Skills:
Excel, Internal Controls, Accounting, Budgeting, Accounting Software, Cash Flow Management, Financial Reporting
Skills:
Financial Statements Preparation, Collaboration with FSSC, Special Financial Reports, Regulatory Liaison and Compliance, Monthly Reconciliations and Reports, Budget and Forecast Preparation, Cash Flow Management, Ad-hoc Analysis and Reporting, Leadership and Team Development, Special Projects and System Enhancements, Transfer Pricing and Tax Filing, Internal Financial Controls, Cost Activities and Productivity
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