Finance Treasury Manager

Hammerjack Pty Ltd

Philippines

On-site

PHP 1,400,000 - 2,200,000

Full time

3 days ago
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Job summary

Sysgen RPO in Cebu is seeking a Finance Treasury Manager for direct hire to oversee treasury operations and cash management within the finance division. The role will focus on liquidity planning, banking relationships, and accurate treasury accounting, with onsite work and a Monday–Friday schedule in Cebu City.

The ideal candidate will have 5+ years in treasury, strong analytical abilities, and proven leadership to guide a small team and coordinate with accounting during month-end closes.

Qualifications

  • At least 5 years of treasury management experience.
  • Strong analytical skills and attention to detail.
  • Knowledge of banking relationships and covenants.
  • Solid understanding of accounting principles.
  • Excellent time management and organizational abilities.
  • Strong interpersonal and stakeholder communication skills.
  • Proficient in Excel and accounting software.
  • Willing to be assigned in Cebu City, with travel to Manila for meetings.

Responsibilities

  • Manage cash positioning, bank account structures, and treasury controls.
  • Oversee daily/long-term cash flow to maintain liquidity for operations.
  • Build and maintain relationships with banks and financial institutions.
  • Monitor and mitigate financial risks including FX and liquidity risks.
  • Oversee recording of treasury transactions and reconcile with GL.
  • Develop financial strategies to support growth and resilience.
  • Maintain internal controls over treasury operations and reporting.

Job description

Sysgen RPO is hiring Finance Treasury Manager for direct hire with client.

About the role:
  • Direct hire
  • Full time/ Permanent position
  • Work onsite in Cebu
  • Weekday work schedule
Job Responsibilities:

Division: Finance & Accounting

Reports To: Sr. Manager (Finance & Accounting) Direct Reports: Finance Supervisors (2) – Billing & Collection, Cash Management Team Headcount: AR Analysts, Corporate Cashier, Collector (est. 3-5)

Treasury Operations
  • Manage cash positioning, bank account structures, and treasury controls in a cash-constrained environment.
  • Oversee daily and long-term cash flow management to maintain sufficient liquidity for business operations.
  • Build and maintain strong relationships with banks and financial institutions.
  • Monitor and mitigate financial risks, including foreign exchange, interest rate, and liquidity risks.
  • Optimize treasury systems, payment processes, and the investment of surplus funds.
Financial Integrity of Funds
  • Ensure accurate recording of treasury transactions, including incoming/outgoing funds, intercompany transfers, and financing activities.
  • Collaborate with accounting and finance teams to reconcile cash movements with the general ledger.
  • Oversee month-end and year-end closing activities related to treasury and cash accounts.
  • Ensure compliance with applicable accounting standards for treasury and financing activities.
  • Support internal and external audits by maintaining proper documentation and effective controls over treasury-related transactions.
Strategic Leadership
  • Develop and implement financial strategies that support business growth and financial resilience.
  • Provide insights and recommendations on capital structure, working capital optimization, and funding requirements.
Compliance and Controls
  • Maintain strong internal controls over treasury operations and the financial reporting of cash and receivables.
  • Ensure compliance with regulatory requirements, banking covenants, and company policies.
  • Drive continuous improvement in treasury and finance processes, systems, tools, and reporting accuracy.
Team Leadership
  • Foster a high-performance culture centered on collaboration, accountability, and excellence.

Strategic and Operational Management of the Human Resource Department.

  • Performs other tasks from time to time as may be assigned by the immediate head.
Job Requirement:
  • With at least 5 years of strong experience in managing the treasury functions ‑ treasury, accounting, liquidity health from financial analysis, budgeting and cashflow control
  • Excellent analytical skills and high level of attention to detail and gets updated of day‐to‐day events that may affect the business industry, financial markets, and instruments
  • Knowledge of banking relationships and covenants
  • Sound understanding of accounting principles
  • Excellent time management and organizational ability and ability to manage hectic schedules and high stress situations
  • Excellent interpersonal and communication skills, with the ability to build and maintain business relationships with different stakeholders ‑ internal and external
  • Team player with the ability to communicate and coordinate with multiple parties and stakeholders
  • Intermediate to advanced computer software skills including excel and other accounting software system and presentations
  • Must be willing to be assigned in Cebu City, mobile and willing to travel to Manila for business and official meetings
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