Senior Treasury Manager (Group Function + Global Role)
Join a well established organisation in a dynamic treasury role supporting international cash management, financing activities, and financial risk management across multiple regions. This is a highly visible position offering strong exposure to senior leadership and global treasury operations.
Key Responsibilities
- Manage global liquidity, cash forecasting, and working capital across multiple entities
- Support funding activities, debt management, and banking relationships
- Monitor FX exposures and execute hedging activities across international operations
- Provide treasury analysis, market insights, and support investment related initiatives
- Oversee bank accounts, KYC processes, and treasury administration matters
- Drive improvements across treasury processes, reporting, and systems
- Mentor and support junior team members within the treasury function
- Support strategic finance projects and cross functional initiatives globally
Key Requirements
- 12+ years of treasury experience within multinational environments
- Strong exposure to liquidity management, cash forecasting, debt, and banking activities
- Experience operating across multiple regions and currencies
- Strong stakeholder management and communication skills
- Hands-on and adaptable, comfortable working within a lean and dynamic environment
- Prior experience in asset-heavy industries would be advantageous
Sinagpore citizen or PR only.