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About SJ
SJ Group is a global urban, infrastructure and managed services consulting firm, with over 70 years of track record in successful project delivery. Headquartered in Singapore, the group has a global talent pool of 16,000 across SJ and our member companies AETOS, Atelier Ten, B+H, CHIL, KTP, Prostruct, RBG, SAA, and SMEC, based in more than 120 offices in over 40 countries. They include architects, designers, planners, engineers and other specialists driven by progressive thinking and creative ideas to help shape a better future.
Our technical experts deliver sustainable solutions that cover the entire project life cycle from planning and design, through to delivery and management, as well as decommissioning and closure. We provide a full suite of multidisciplinary built environment consultancy services across a diverse range of sectors that includes aviation, healthcare, hospitality, transport, water and environment as well as energy and resources.
Role Overview
As part of the Group Treasury team, the role will be responsible for the full spectrum of treasury functions including but not limited to financing, cash management, capital structuring, financial risk management (interest rates / FX), etc. You will work in partnership with Group Finance, Divisional Finance teams, Group Corporate Functions (Legal, Tax, M&A, etc.), and various Business Units to support the Group next phase of growth.
Role Responsibilities
Education Qualification
Relevant Experience
Professional Accreditations
Professional Knowledge/ Skills
At Surbana Jurong, we put talent, hard work, teamwork and a fun workplace together to approach problems and solve them creatively and collaboratively. Join us in making a positive impact on the world!
Job ID: 135142425
Skills:
Feasibility Studies, Due Diligence, Management Reporting, Financial Modelling, Forecasting, Business Valuation, budgeting, Finance Transformation, Variance Analysis, Performance Analysis
Skills:
Data structures, Accounting, cost optimisation, Cash Flow Projections, Policies, Financial analysis, Reporting mechanisms, Working Capital Management, Financial Operations
Skills:
debt tracking, cash positioning, financial analysis, cash deployment, Forecasting, FX hedging strategies, investment evaluations, bank account management, banking relationships, Kyc, intercompany funding, interest rate exposure management, onboarding processes, funding requirements, working capital optimisation, financing arrangements, Reporting
Skills:
debt tracking, cash positioning, financial analysis, cash deployment, Forecasting, FX hedging strategies, investment evaluations, bank account management, banking relationships, Kyc, interest rate exposure management, intercompany funding, onboarding processes, funding requirements, working capital optimisation, financing arrangements, Reporting
Skills:
strategic partnerships, market research, financial analysis, Financial Modelling, Negotiating
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