- Pioneer headcount for a newly set up trading hub
- End to end treasury scope with global exposure
About Our Client
Our client is a growing international FMCG organisation expanding its presence across Asia. As part of its regional growth strategy, it is establishing a regional trading hub to centralise treasury, banking, and cash management activities in Singapore.
Job Description
Reporting to the CFO, you will
- Lead the setup of treasury operations, frameworks, and controls for regional hub
- Establish and manage banking relationships, including account opening and documentation
- Implement cash management structures, including cash pooling and intercompany funding flows
- Maintain visibility of regional cash positions and support liquidity management activities
- Assist in developing cash flow forecasting processes (short- to mid-term)
- Execute FX hedging activities in line with internal guidelines
- Support treasury system (TMS) implementation and process standardisation
- Work closely with regional finance teams and report to the Regional Finance / Treasury Lead
The Successful Applicant
- Degree in Finance, Accounting, with at least 6 years of experience in a corporate treasury role
- Proven experience in setting up or improving treasury processes, involvement in a Treasury Management System implementation
- Ability to work independently in a lean, evolving environment with minimal structure
- Comfortable navigating ambiguity and contributing in a build-phase setup
- Strong stakeholder management skills across regional teams and functions
What's on Offer
- Opportunity to be a pioneer of a new treasury hub setup in Singapore
- Global exposure across multiple markets
Contact:
Quote job ref: JN-072026-7057533