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Regional Treasury Manager (MNC)

7-10 Years
SGD 7,300 - 8,100 per month
  • Posted a day ago
  • Be among the first 10 applicants

Job Description

Our client is a MNC in Manufacturing. Due to business needs, they are now recruiting a Treasury Manager to be part of their Team for ongoing transformation projects. They are located in the Central - easily accessible.

Responsibilities for Regional Treasury Manager:

Cash & Treasury Operations

  • Manage daily cash flow, loan drawdowns, FX hedging, fund transfers, and settlement
  • Oversee cash management and borrowing strategies to optimize working capital.
  • Forecast cash collections/disbursements and coordinate month-end treasury reporting.
  • Support overseas subsidiaries on fund management, financing, and cash flow analysis.
  • Liaise with banks and intercompany credit facilities.

Capital Strategy & Advisory

  • Assess cost of capital and maintain an optimal financing mix.
  • Monitor macroeconomic trends and provide financial/market outlooks.
  • Recommend banking products and financial solutions for efficiency and growth.
  • Support M&A and restructuring from a treasury perspective.

Risk & Hedging Management

  • Implement FX and interest rate hedging strategies.
  • Ensure interest rate structures support profitability and compliance.
  • Identify risks and perform ad-hoc analyses to mitigate exposures.

Policy, Governance & Process Improvement

  • Develop and communicate global cash management policies.
  • Benchmark best practices and identify strategic funding needs.
  • Drive process and system improvements for efficiency and accuracy.

Banking Relations & Administration

  • Evaluate bank services, fees, and recommend savings or added services.
  • Manage bank accounts: openings, closures, signatories, and records.


Requirements:

  • Bachelor's degree in Finance and Accounting, Business Management, Business Administration, or in relevant fields
  • Relevant Treasury experience (regional or global role)
  • Proven experience in intercompany financing and loan management, M&A activities, capital management, policy & governance, hedging

Interested candidates who wish to apply for the advertised position, please click APPLY NOW or email an updated copy of your resume/cv.

We regret that only shortlisted candidate will be notified.

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EA Personnel No: R25157233 (Loh Pooi Keng)

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Job ID: 151482397

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Skills:

cash flow analysis Interest rate hedging strategiesProcess improvementFund ManagementBanking relationsfx hedgingCash Treasury OperationsFund transfersGlobal cash management policiesFinancingTreasury reportingCash ManagementRisk Hedging ManagementBorrowing strategies