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caliber8 recruitment

Treasury Manager (Maritime/Trading)

4-8 Years
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Job Description

Treasury Manager (Maritime/Trading)

We are partnering with an international maritime organisation to hire a Treasury professional who will support group level liquidity, funding, and financial risk management across a global footprint.

Key Responsibilities

  • Manage group liquidity, including cash positioning, forecasting, and working capital optimisation
  • Partner with global business units to anticipate funding requirements and ensure efficient cash deployment
  • Oversee loan portfolio, including debt tracking and interest rate exposure management
  • Support and manage banking relationships, including financing arrangements and intercompany funding
  • Execute and monitor FX hedging strategies across multiple entities
  • Analyse market trends and economic indicators to assess impact on treasury strategy
  • Support investment evaluations and financial analysis where required
  • Handle bank account management, including KYC and onboarding processes
  • Drive improvements in treasury processes, systems, and reporting
  • Support ad hoc strategic and finance-related initiatives

Key Requirements

  • 4 to 8 years of treasury or corporate finance experience
  • Strong exposure to cash flow management, liquidity planning, and banking relationships
  • Experience in FX risk management and hedging is preferred
  • Background in multinational or multi-entity environments
  • Strong communication skills, ability to engage stakeholders across regions
  • Hands-on, adaptable, and comfortable in a relatively lean setup
  • Maritime or asset-heavy industry exposure is a plus

Sinagpore citizen or PR only.

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About Company

Job ID: 146865941