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Treasury Manager
Our client is looking for a Treasury Manager to support regional finance activities, managing cash flow, corporate banking, debt, and foreign currency transactions, while overseeing reporting, forecasting, and treasury operations.
Responsibilities
Requirements
Office Location: Central, Singapore
Interested candidates kindly forward your CV to [Confidential Information] (Gwen Hu, Reg No: R22109984). You may email this great opportunity to someone who would be a great fit for this role.
All information will be kept strictly confidential. We regret to inform that only successful applicants will be contacted.
PeopleSearch Pte Ltd
EA License No: 16S8057
Job ID: 143916685
Skills:
Liquidity Management, Funding, hedging strategies, interest rate risk management, precious metals management
Skills:
Excel, Cash Management, Cash Flow Forecasting, liquidity planning, Banking Operations, Financial Instruments
Skills:
Treasury Operations, Cash Management, Risk Management
Skills:
Treasury Management, Bank Relationships, Cash Forecasting, Project Financing, Cash Management, Trade Management
Skills:
SAP Treasury, Excel, risk management, debt instruments, foreign exchange management, ERP systems, Financial Instruments, banking relationship management, treasury management systems, investment vehicles, Financial Modelling, Cash Flow Forecasting, Kyriba
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