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SUMMARY JOB DESCRIPTION OF TREASURY MANAGER
Responsibilities:
The Group operates a global centralised treasury for all its business units spanning Singapore, Australia, China, UK/Ireland and Malaysia. The candidate will be a key member of the treasury team and oversee a team of four staff to support the Group's global treasury function.
Key Areas
Cash Management and Fuel & FX Risk Management
Bankers Guarantees
Bank Mandate Updates & E-banking administrator
Key Systems Used
Requirements:
Job ID: 152065279
Skills:
Stress Testing, Excel modeling, Bank payment APIs, Cashflow forecasting, Hedging strategies, Risk Analytics, FX and FX derivatives risk management, Crypto-based payment flows, Liquidity Management
Skills:
Cash Flow Management, corporate banking practices, Treasury Operations, Trade Finance, Payments, credit risk assessment, foreign exchange transactions, fund movements
Skills:
treasury instruments, Bloomberg, Documentation, CitiDirect E-banking, DBS IDEAL, Kyriba
Skills:
Excel, Financial Modeling, Treasury Management, Treasury tools, Corporate finance, Banking Operations, Cash Flow Management, Compliance standards, Financial regulations
Skills:
Qlik Sense, Power Bi, Microsoft Excel, Python, financial markets and products, Powerpoint, Financial Modelling, data visualisation tools, Bloomberg Terminal