Treasury Manager
Treasury Manager
ComfortDelGroFresher
- Posted 18 hours ago
- Be among the first 10 applicants
Job Description
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
- Oversee and manage cash management duties and liquidity management for central pool funding
- Oversee and manage the foreign exchange risks that arise from the Group's operations
- Cash flow planning and managing intercompany loans
- Provide analysis on fuel/electricity prices and execute hedges with the banks
- Manage counterparty exposure and monthly treasury reporting
Bankers Guarantees
- Check if BU/BG Applicant has submitted the list of required documents for BG applications/renewals to Group Treasury
- Liaise with issuing bank on format and apply for BG
Bank Mandate Updates & E-banking administrator
- Prepare board resolution and ensure banking mandate updates are completed
- To update the e-banking matrix across the Singapore business units
- Maintain existing bank relationships and develop new banking relationships
- Other ad hoc duties
Key Systems Used
- Kyriba (Internal)
- CitiDirect E-banking, DBS IDEAL (External)
- Bloomberg (External)
Requirements:
- Degree or Diploma in Business/Accountancy/Finance/Banking/Economics
- Relevant experience in corporate treasury with large corporates or financial institutions
- Working knowledge of treasury instruments and documentation
- Good inter-personal and communication skills with strong analytical and problem-solving skills
More Info
Key Skills
Monthly treasury reporting
Bank mandate updates
CitiDirect E-banking
DBS IDEAL
Kyriba
Treasury instruments and documentation
Cash flow planning




