Head of Treasury

Rockwell Land Corporation

Makati

On-site

PHP 3,500,000 - 5,500,000

Full time

17 hours ago
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Job summary

Rockwell Land Corporation in Makati is seeking a Head of Treasury to oversee treasury operations, optimize cash management, and guide liquidity and funding strategies for growth.

You will lead a team, manage banking relationships and debt facilities, develop cash flow forecasts, monitor financial risks, and ensure policies and controls meet regulatory and corporate standards.

Qualifications

  • Bachelor’s degree in Finance, Accounting, Economics, Business Administration or related field.
  • 8–12+ years of Treasury, Corporate Finance, Banking, or Financial Management with leadership experience.
  • Strong cash management, forecasting, banking, debt/funding, and liquidity management.
  • Experience managing banking relationships and financing facilities.
  • Strong financial analysis, business acumen and risk management skills.
  • Proficiency with financial markets, banking products and treasury practices.
  • Leadership and stakeholder management abilities.
  • Proficiency in Excel and ERP systems.

Responsibilities

  • Lead treasury operations, including cash management, cash positioning and liquidity planning.
  • Develop and monitor short- and long-term cash flow forecasts.
  • Manage banking relationships, including facilities, credit lines and terms.
  • Oversee funding, debt management, and refinancing activities.
  • Develop strategies for optimal utilization of excess cash and short-term investments.
  • Monitor financial risks and implement mitigating strategies.
  • Establish treasury policies, controls, procedures and approval frameworks.
  • Ensure timely cash reconciliations, bank transactions and treasury reporting.
  • Oversee borrowing costs, maturities and covenant compliance.
  • Collaborate with Accounting, FP&A, Tax, Legal and other Finance teams.
  • Provide treasury insights to senior management to support investment decisions.
  • Lead and develop the treasury team with strong controls and service delivery.
  • Identify opportunities to improve treasury processes, systems and cash efficiency.
  • Ensure compliance with regulations, banking requirements, tax considerations and internal policies.

Skills

Cash management
Cash flow forecasting
Banking relationships
Debt/funding
Liquidity management
Financial analysis
Stakeholder management
Excel & ERP proficiency

Education

Bachelor’s degree in Finance, Accounting, Economics, Business Administration

Tools

Microsoft Excel
ERP systems

Job description

The Head of Treasury is responsible for overseeing the organization’s treasury operations, ensuring optimal cash management, liquidity, funding, banking relationships, and financial risk management. The role provides strategic direction on cash flow, investments, financing, and treasury policies to support the company’s financial objectives and business growth.

Key Responsibilities
  • Lead and oversee the company’s treasury operations, including cash management, cash positioning, and liquidity planning.
  • Develop and monitor short- and long-term cash flow forecasts to ensure sufficient funds for operational and investment requirements.
  • Manage the company’s banking relationships, including negotiations on bank facilities, credit lines, interest rates, and other banking arrangements.
  • Oversee funding and financing activities, including loans, credit facilities, debt management, and refinancing requirements.
  • Develop strategies for optimal utilization of excess cash, including approved short-term investments and placements.
  • Monitor interest rate, foreign exchange, liquidity, and other financial risks, and recommend appropriate mitigating strategies.
  • Establish and maintain treasury policies, controls, procedures, and approval frameworks in accordance with company and regulatory requirements.
  • Ensure timely and accurate cash reconciliations, bank transactions, fund transfers, and treasury reports.
  • Monitor borrowing costs, debt maturities, covenant compliance, and overall financing exposure.
  • Partner with Accounting, FP&A, Tax, Legal, and other Finance teams to ensure effective cash and funding management.
  • Provide treasury insights and recommendations to senior management to support financial and investment decisions.
  • Lead, coach, and develop the treasury team, ensuring strong controls, accountability, and service delivery.
  • Identify opportunities to improve treasury processes, systems, automation, and cash efficiency.
  • Ensure compliance with applicable financial regulations, banking requirements, tax considerations, and internal policies.
Qualifications
  • Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or a related field.
  • Preferably with 8–12+ years of relevant experience in Treasury, Corporate Finance, Banking, or Financial Management, with significant leadership experience.
  • Strong experience in cash management, cash flow forecasting, banking, debt/funding, and liquidity management.
  • Experience managing banking relationships and financing facilities.
  • Strong financial analysis, business acumen, and risk management skills.
  • Excellent understanding of financial markets, banking products, and treasury practices.
  • Strong leadership and stakeholder management skills, with the ability to work effectively with senior management.
  • Highly analytical, detail-oriented, and commercially minded.
  • Proficiency in Microsoft Excel and financial management/ERP systems.
  • Professional certifications such as CPA, CFA, or CTP are an advantage.
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