Position Title
Planning Manager, Global Treasury Planning Group
Key Responsibilities
Support planning and execution of global treasury strategies
Manage surplus cash and group deposits
Design and implement Treasury Management Systems (TMS)
Analyze funding structures and FX risks
Redesign global credit lines and cash pooling
Oversee regional treasury operations and FTC incentives
Develop global cash management policies
Requirements
8-10 years of treasury/finance experience in global companies, including 5+ years in leadership
Banking experience is a plus
Bachelor's degree or higher MBA, ACCA, CFA, CPA preferred
Business-level English fluent Japanese (JLPT N2 or equivalent) in order to liaise with stakeholders.
Proficient in Excel, financial modeling, TMS/ERP systems
Experience in system implementation, process improvement, and project management
Knowledge of FX risk management and international taxation
Additional Information
Salary: S$10,000-15,000 + performance bonus
Working hours: Flexible 9-hour schedule between 7:30-18:30
Medical insurance: Comprehensive coverage
Remote work available
Special leave in addition to public holidays