
Finance and Treasury Operations Manager
- Singapore
- Permanent
- Full-time
- Manage a wide range of treasury activities, including daily cash management, funding disbursements, and coordination with internal teams and banking partners.
- Maintain accurate banking records and perform timely monthly bank reconciliations to ensure financial integrity.
- Monitor and manage cash balances, preparing weekly rolling cash flow forecasts to support short- and mid-term business needs.
- Support operational teams in fulfilling contractual obligations related to payment processes, including setting up direct debit arrangements, processing payments, issuing credit notes, and managing ad hoc requests.
- Assist in the oversight of finance and accounting operations, ensuring compliance with relevant financial reporting standards and internal corporate policies, while providing operational support and financial guidance to business teams.
- Bachelor’s Degree with CA/CPA/ACCA qualifications.
- 5+ years of relevant experience, ideally within banking/financial services firms.
- Strong foundation in financial accounting, budgeting and cashflow activities.