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Sourceo Pte Ltd

Treasury Senior Manager

2-3 Years
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Job Description

Roles & Responsibilities:

Cash and Capital Management

  • Lead cash flow forecasting, liquidity planning, and capital management activities, ensuring optimal utilization of group funding sources.
  • Review and optimize existing cash pooling structures and inter-company funding arrangements.
  • Assess availability of excess cash from overseas entities and manage repatriation strategies.

Foreign Exchange (FX) Management

  • Identify, monitor, and analyze foreign currency exposures across the group.
  • Develop, recommend, and execute hedging strategies to mitigate FX risks.
  • Track global FX market movements and analyze economic trends to support informed decision-making.

Treasury Operations & Reporting

  • Oversee management of bank accounts, including internet banking platforms and access controls.
  • Lead implementation and enhancement of overseas banking platforms (e.g., Australia, Japan).
  • Review and optimize e-payment platforms and related processes.
  • Prepare and present management reports for senior leadership and C-suite stakeholders.
  • Develop, review, and enhance treasury policies and SOPs in line with industry best practices.
  • Drive process improvements and support automation initiatives within treasury operations.

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About Company

Job ID: 145575301

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