Corporate Treasury Manager

HRTx Inc

Makati

On-site

PHP 1,200,000 - 2,000,000

Full time

14 days+
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Job summary

HRTx Inc in Makati City is seeking an experienced Corporate Treasury Manager to oversee treasury operations, cash management, liquidity planning, and banking relationships. You will manage funding requirements, ensure policy compliance, and support strategic financial initiatives across the organization.

The role requires 7–10+ years in corporate treasury, with at least 3 years in a leadership capacity, and a strong grasp of risk management, cash forecasting, and debt financing.

Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, Business Administration or related field.
  • CPA/CFA/CTP or equivalent certification is an advantage.
  • 7–10+ years in corporate treasury, cash management, banking or corporate finance, with at least 3 years in a managerial or supervisory role.
  • Strong knowledge of treasury operations, cash forecasting, liquidity management, debt financing, and financial risk management.

Responsibilities

  • Manage daily treasury operations including cash positioning, forecasting, and liquidity management.
  • Develop short- and long-term cash flow forecasts to support operations and planning.
  • Oversee banking relationships, accounts, credit facilities, loan administration, and negotiations.
  • Manage working capital, funding, debt obligations, and investments.
  • Monitor FX exposure and interest rate risk; recommend hedging strategies.
  • Ensure compliance with treasury policies, regulations, and banking covenants.
  • Coordinate with finance, accounting, tax and business units on treasury transactions.
  • Review and approve treasury transactions, payments, and controls.
  • Prepare treasury reports, liquidity analyses and dashboards for senior management.
  • Drive process improvements and automation in cash management.

Skills

Treasury operations
Cash forecasting
Liquidity management
Financial risk management
Banking relationships
Hedging strategies
Policy compliance
Financial dashboards

Education

Bachelor's degree in Finance/Accounting/Economics/Business Administration
CPA/CFA/CTP or equivalent (advantage)

Job description

Corporate Treasury Manager

Location: Makati City
Work Setup: Onsite
Work Schedule: Morning Shift

Job Summary

We are seeking an experienced Corporate Treasury Manager to oversee the company's treasury operations, cash management, banking relationships, liquidity planning, and financial risk management. The role will be responsible for optimizing cash flow, managing funding requirements, ensuring compliance with treasury policies, and supporting strategic financial initiatives across the organization.

Key Responsibilities
  • Manage daily treasury operations, including cash positioning, cash forecasting, and liquidity management.
  • Develop and maintain short- and long-term cash flow forecasts to support business operations and strategic planning.
  • Oversee banking relationships, including account management, credit facilities, loan administration, and banking negotiations.
  • Manage working capital, funding requirements, debt obligations, and investment activities.
  • Monitor foreign exchange exposure, interest rate risk, and other financial risks; recommend appropriate hedging strategies where applicable.
  • Ensure compliance with internal treasury policies, financial regulations, and banking covenants.
  • Coordinate with finance, accounting, tax, and business units on treasury-related transactions and funding needs.
  • Review and approve treasury transactions, payment processes, and cash management controls.
  • Prepare treasury reports, liquidity analyses, and financial dashboards for senior management.
  • Drive treasury process improvements, automation initiatives, and optimization of cash management systems.
Qualifications
  • Bachelor's degree in Finance, Accounting, Economics, Business Administration, or a related field.
  • CPA, CFA, CTP (Certified Treasury Professional), or equivalent certification is an advantage.
  • 7–10+ years of experience in corporate treasury, cash management, banking, or corporate finance, with at least 3 years in a managerial or supervisory role.
  • Strong knowledge of treasury operations, cash forecasting, liquidity management, debt financing, and financial risk management.
  • Experience managing banking relationships and negotiating financing arrangements.
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