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You'll be working in an industry that's closely connected to Singapore's semiconductor and advanced manufacturing growth. Manage day-to-day corporate treasury, cash management, liquidity, banking facilities and FX activities across the organisation, supporting APAC treasury operations. The role reports to the Head, Treasury, APAC.
Education & Experience
Why Join
R22107887 | Gladys Chang Si Min
Job ID: 152450575
Skills:
System Enhancements, automation, financing strategies, fx hedging, working capital optimization, Financial Governance, cash flow forecasts, bank facilities, financial insights, treasury reports, daily cash management, Capital Planning, liquidity funding, bank account administration, loan administration, treasury process improvements
Skills:
Treasury Governance, Covenant Management, Financial Modelling, Liquidity Management, ERP Treasury Systems, Debt Instruments