Treasury Operations Leader - Cash Flow & Controls

Kuok Group Singapore

Kuala Lumpur

On-site

MYR 120,000 - 180,000

Full time

14 days+
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Job summary

Kuok Group Singapore is seeking a Treasury Operations Manager to oversee the treasury function across multiple business units. You will manage banking administration, cash flow forecasting, liquidity planning, and internal controls while leading a professional team.

Responsibilities include coordinating with Group Treasury, approving treasury payments, and ensuring month-end reconciliations in SAP. The ideal candidate will have 5–7 years in treasury or finance, with supervisory experience and

Qualifications

  • Bachelor’s degree in accounting/finance or related discipline.
  • 5-7 years in treasury/finance with 2+ years supervisory.
  • Experience with SAP; strong Excel and Office skills.
  • Experience in multinational/shared services environment is an advantage.

Responsibilities

  • Oversee daily bank movements and ensure timely bank reconciliations.
  • Review cash positions, funding, and cash flow forecasts.
  • Approve fund planning proposals and ensure liquidity optimization.
  • Manage bank guarantees, loans, and treasury payments per policy.
  • Coordinate with Group Treasury to optimize cash management.
  • Lead and develop the Treasury Operations team and ensure SLAs.

Skills

Leadership
Analytical skills
Communication
Problem solving
Organizational skills

Education

Bachelor's Degree in Accounting, Finance, Business, or related

Tools

SAP
Microsoft Excel

Job description

Job Summary

Oversee Treasury Operations team in managing banking administration, cash flow operations, and treasury-related activities across the Business Units (BUs). Ensure efficient treasury operations, strong internal controls, regulatory compliance, and timely execution of banking transactions while providing leadership, coaching, and operational support to the team.

Job Summary

Oversee Treasury Operations team in managing banking administration, cash flow operations, and treasury-related activities across the Business Units (BUs). Ensure efficient treasury operations, strong internal controls, regulatory compliance, and timely execution of banking transactions while providing leadership, coaching, and operational support to the team.

Key Responsibilities

Treasury Operations

  • Oversee daily bank movements and ensure timely reconciliation against the Cashbook.
  • Review and monitor daily cash positions, funding requirements, and cash flow forecasts across Business Unit.
  • Review and approve fund planning proposals to ensure adequate liquidity and optimal cash utilization.
  • Oversee the maintenance of loan schedules and review loan interest, repayment, and drawdown instructions.
  • Manage the administration of Bank Guarantees, including applications, renewals, amendments, cancellations, and maintaining the control register.
  • Review and authorize treasury-related payments in accordance with delegated authority and internal control policies.
  • Ensure timely and accurate monthly bank reconciliations and treasury-related month-end closing activities in SAP.
  • Review Fixed Deposit reports, Facility Utilization reports, and other treasury management reports for accuracy and completeness.
  • Monitor banking facilities and ensure compliance with financing agreements and banking covenants.
  • Coordinate with Group Treasury to optimize cash management, banking facilities, and treasury initiatives.

Leadership & Team Management

  • Lead, coach, and develop the Treasury Operations team to ensure high performance and continuous capability development.
  • Allocate work, monitor team performance, and ensure service level expectations are consistently achieved.
  • Review team outputs and ensure treasury activities are completed accurately, efficiently, and within established timelines.
  • Foster a culture of collaboration, accountability, and continuous improvement within the team.

Governance & Process Improvement

  • Ensure compliance with company policies, treasury procedures, accounting standards, and regulatory requirements.
  • Strengthen internal controls and identify opportunities to improve treasury processes, systems, and operational efficiency.
  • Assist with internal and external audits by providing treasury documentation and responding to audit queries.

Key Requirements

  • Bachelor's Degree in Accounting, Finance, Business, or a related discipline.
  • Minimum 5-7 years of treasury, finance, or accounting experience, with at least 2 years in a supervisory or team lead role.
  • Experience in corporate treasury operations within a multinational or shared services environment is an advantage.
  • Experience with SAP preferred
  • Advanced proficiency in Microsoft Excel and Microsoft Office applications.
  • Strong analytical, problem-solving, and organizational skills.
  • Leadership, coaching, and people management capabilities.
  • Strong communication and stakeholder management skills.
  • High level of integrity, attention to detail, and commitment to internal controls.
  • Ability to manage multiple priorities and meet deadlines in a fast-paced environment.
  • Continuous improvement mindset with experience driving process enhancements and automation initiatives.

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