Head of Treasury/Assistant Treasury Head

Leslie Corporation

Parañaque

On-site

PHP 6,000,000 - 9,000,000

Full time

14 days+

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Job summary

Leslie Corporation in Manila seeks a Head of Treasury to architect and lead the group’s financial resilience, overseeing global liquidity, cash management, and capital structure within a farm-to-fork supply chain. The role demands an experienced strategist who can steer risk management, hedging, and capital allocation across multiple manufacturing entities.

The candidate will optimize cash flow, manage banking relationships, and champion ESG-linked funding where applicable, ensuring sustainable

Qualifications

  • Bachelor's degree in Finance, Accounting, Economics or related field; MBA/CFA/CTP preferred.
  • Minimum 7–10 years in corporate treasury or financial risk management with 3–5+ years in leadership, preferably in food manufacturing.
  • Proven experience implementing hedging programs for FX and interest rate risk.

Responsibilities

  • Oversee daily cash positioning and forecast cash flows for budgeting.
  • Automate cash management procedures using treasury technology solutions.
  • Identify FX exposures and develop hedging programs to mitigate risks.
  • Manage interest rate exposure and execute hedging strategies.
  • Develop and maintain treasury policies ensuring regulatory compliance.
  • Manage banking relationships for optimal service and pricing.
  • Provide financial analysis on capital structure and funding options.
  • Manage fund sourcing and deployment for efficient capital utilization.

Skills

Treasury leadership
Liquidity management
FX hedging
Cash forecasting
Risk management
Team leadership
Financial analysis
Stakeholder communication

Education

Bachelor's degree in Finance/Accounting/Economics
MBA or CFA/CTP preferred

Tools

Treasury software
ERP systems

Job description

Head of Treasury

Reports to: VP/AVP Finance

Position Summary

The Head of Treasury is a strategic leadership role responsible for the group's financial resilience and the optimization of capital across a complex food manufacturing ecosystem. This position requires a high-level architect to oversee global liquidity, cash management, and capital structure while navigating the unique volatility of the "farm-to-fork" supply chain. Key responsibilities include managing daily cash flow and automated forecasting, developing robust hedging strategies for soft commodities, currency, and interest rate exposures, and maintaining elite banking relationships. The role further encompasses corporate risk management, insurance renewals, and providing sophisticated financial analyses to steer capital allocation and financing options for a diverse group of food manufacturing companies.

Strategic Leadership & Sector Expertise
  • Strategic Financial Leadership: We are seeking a Treasury Head with 12+ years of experience, including at least 5 years in a senior leadership role within food manufacturing or agribusiness. You will serve as the chief architect of our commodity risk strategy, expertly navigating the volatility of soft commodities and global FX markets to safeguard the firm's gross margins against unpredictable price swings.
  • Operational Resilience & Supply Chain Strategy: The successful candidate will demonstrate a mastery of seasonal liquidity management, skillfully overseeing the high-intensity working capital cycles unique to harvest-dependent production. You will champion Supply Chain Finance initiatives and ESG-linked funding structures, ensuring long-term financial stability and sustainability across our entire manufacturing footprint.
Key Responsibilities
  • Oversee daily cash positioning and forecast cash flows for budgeting.
  • Establish a cash planning system and collaborate with finance on budgeting.
  • Automate cash management procedures using treasury technology solutions.
  • Identify FX exposures and develop hedging programs to mitigate risks.
  • Manage interest rate exposure and execute hedging strategies.
  • Develop and maintain Treasury policies ensuring compliance with regulations.
  • Manage banking relationships for optimal service and pricing.
  • Oversee corporate insurance renewals and property appraisals.
  • Provide financial analysis on capital structure and funding options.
  • Manage fund sourcing and deployment for efficient capital utilization.
Qualifications
Education and Experience
  • Bachelor's degree in Finance, Accounting, Economics, or a related field. MBA or relevant professional certification (e.g., CTP, CFA) is highly preferred.
  • Minimum of 7-10 years of progressive experience in corporate treasury or financial risk management, with at least 3-5 years in a leadership role, preferably 7 years plus in the food manufacturing sector.
  • Proven experience in implementing and managing hedging programs for FX and interest rate risk.
Skills and Competencies
  • Deep technical knowledge of cash management, financial instruments, and derivative products.
  • Strong analytical and quantitative skills, with the ability to perform complex financial modeling and sensitivity analysis.
  • Excellent communication and presentation skills, capable of explaining complex financial concepts to non-financial stakeholders.
  • Demonstrated leadership ability to manage a team and drive organizational change.
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