
Treasury Manager
- Singapore
- Permanent
- Full-time
- Manage long- and short-term cash flow and working capital/liquidity management and debt structure
- Manage overseas cash reporting processes and the design/implementation of intercompany funding strategies
- Manage balance sheet and day-to-day liquidity to support the business needs
- Develop, maintain & continuously review controls over banking facilities
- Design and implement foreign exchange mitigation strategies such as hedging to mitigate financial risks, primarily foreign currency cash flow exposure through the recommendation of financial instruments
- Manage interest rate risks and liquidity
- Maintain good stakeholder relations related to external funding, e.g., banks and other financial institutions, regulatory bodies, etc
- Prepare of Board level cash and other risk management reporting
- Develop regional treasury operations controls policy in compliance with the global policy
- Maximize operational efficiency and maintain stable day-to-day treasury operations in region based on the policy
- Educate internal stakeholders on importance of cash flow planning and foreign exchange mitigation strategies
- Participate in other finance-related projects with Group CFO as needed
- Bachelor's Degree in Business/ Finance with professional qualifications (e.g. ACCA, CPA or equivalent)
- At least 6 to 8 years of working experiences in Treasury's role on group level
- Great analytical and interpersonal skills, with keen attention to detail and the bigger picture in mind
- Self-starter team player able to thrive in a fast-paced environment
- Retail/FMCG industry experience highly desired, but not required