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Treasury, Cash & Capital Planning Manager

8-12 Years
SGD 10,000 - 16,000 per month
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  • Posted 2 days ago
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Job Description

Salling Search is currently assisting a Global Leader in the shipping industry in the search for a Treasury and Capital Planning Manager based in Singapore.

Key Responsibilities

1. Treasury Operations & Cash Management

  • Monitor daily cash balances across all Group accounts.
  • Execute and oversee payments via Kyriba, following approval controls.
  • Investigate and resolve delayed, rejected, or blocked transactions.
  • Prepare daily and weekly cash position summaries.
  • Execute intercompany funding movements as needed.

2. Bank Account Management, KYC & Sanctions Coordination

  • Manage bank account openings, amendments, and closures.
  • Prepare, submit, and track KYC/AML documentation, including periodic updates.
  • Serve as primary contact for sanctions-related queries with banks.
  • Coordinate responses with Finance, AP, Legal, and Commercial teams.
  • Maintain audit-ready documentation for all sanctions matters.

3. Kyriba Treasury System Ownership

  • Lead treasury operations in Kyriba, including bank connectivity, payment validation, and user administration.
  • Support UAT, parallel runs, cut-over activities, and post go-live operations.
  • Drive ongoing optimisation and standardisation of system usage.

4. Liquidity Management & Cash Forecasting

  • Manage short- and medium-term liquidity across the Group.
  • Maintain rolling 13-week cash forecasts and extend visibility to 3 years.
  • Monitor funding utilisation, liquidity headroom, and cash buffers.
  • Align forecasts with actual cash flow and treasury realities.

5. Financial Modelling & Capital Planning

  • Develop integrated models for cash flow, funding, covenants, and stress scenarios.
  • Support refinancing, restructuring, and funding initiatives.
  • Provide early-warning analysis and recommend mitigating actions.

6. Bank & Lender Engagement

  • Serve as primary contact with banks and lenders alongside the CFO.
  • Present cash flow forecasts, funding updates, and covenant reports.
  • Support facility negotiations, renewals, and documentation.

7. Governance, Controls & Compliance

  • Ensure adherence to authorization matrices and segregation of duties.
  • Maintain logs for bank accounts, KYC, sanctions, and payment exceptions.
  • Strengthen treasury controls and support audits.

8. Stakeholder Coordination & Support

  • Collaborate with Finance, FP&A, Accounting, IT, and Legal to align treasury execution.
  • Support CFO with Board, lender, and internal committee materials.
  • Contribute to treasury transformation, clean-ups, and automation projects.

Requirements

  • 8-12+ years in treasury, cash management, and capital planning.
  • Hands-on with Kyriba (implementation and BAU).
  • Strong financial modelling and cash-focused mindset.
  • Experienced in bank and lender relationships.
  • Knowledge of funding structures, debt, covenants, and liquidity risk.
  • Calm, detail-oriented, and high integrity.
  • Able to balance operational execution with strategic analysis.


Contact Ellaine Legaspi at [Confidential Information] for more info or apply via our website.

Ellaine Legaspi Gorospe
Reg No: R1220634
EA License No: 15S7671

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Job ID: 141047115