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Treasury Manager | Leading Global Commodity Trading House | Singapore
Our client is one of the world's leading integrated energy and commodity trading houses, with operations spanning 50+ countries and a global trading turnover exceeding $100 billion. As part of continued growth in their Singapore office, they are looking for an experienced Treasury Manager to lead cash management and FX operations for the region.
This is a high-impact role for a treasury professional who thrives in a fast-paced, high-volume trading environment and wants ownership over liquidity management at a significant scale.
Key Responsibilities
Cash & Liquidity Management
FX Risk Management
Process, Systems & Team
Bank Relationships
What We're Looking For
Job ID: 153851863
Skills:
Treasury Operations, Accounting, fx hedging, Cash Management, fx trading
Skills:
cash flow analysis , Interest rate hedging strategies, Process improvement, Fund Management, Banking relations, fx hedging, Cash Treasury Operations, Fund transfers, Financial market outlooks, Global cash management policies, Financing, Treasury reporting, Cash Management, Risk Hedging Management, Borrowing strategies
Skills:
FX risk management, Cash Management, Liquidity Management, Treasury reporting, Treasury system upgrade, Treasury Management
Skills:
cash flow analysis , risk management, Hedging, Cash Management, Fund Management, process improvement, banking transaction regulations, treasury functions, policy governance, financial solutions
Skills:
Loan Syndication, Structured Finance, Liquidity Management, Cash Management, Trade Finance, Corporate Treasury, Project Finance, Corporate Banking