TREASURY MANAGER

TRADEMASTER RESOURCES CORPORATION

Las Piñas

On-site

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

Full time

4 days ago
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Job summary

TRADEMASTER RESOURCES CORPORATION in Las Piñas, Philippines, seeks a highly organized Treasury Manager to oversee cash management, funding, banking relationships, and risk management in support of strategic objectives.

The role emphasizes internal controls, compliance, and collaboration with Finance and Accounting to optimize liquidity and drive reliable financial information for decision making.

Qualifications

  • Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or related field.
  • 5–8 years in treasury or corporate finance with at least 3 years in a supervisory or managerial capacity.
  • Experience in banking relationships and financing; AMLA/compliance knowledge.
  • Experience managing cash flow for multi-entity organizations (advantage).
  • Proficient in ERP, treasury management systems, and Excel.

Responsibilities

  • Lead funding and financing activities, including loans, debt obligations, and capital requirements, to ensure adequate financial resources.
  • Maintain and strengthen relationships with banks and financial institutions, including the management of accounts, credit lines, and banking facilities.
  • Oversee the company’s daily cash positions, cash flow forecasts, liquidity requirements, disbursement and collection activities, ensuring proper cash allocation, timely payments, and effective cash flow management.
  • Optimize working capital and ensure sufficient funds for operations and projects.
  • Evaluate and improve electronic payment channels and banking solutions to enhance transaction efficiency, security, and control.
  • Develop and monitor relevant treasury KPIs to provide performance updates and recommendations to Management and mentor the treasury team to ensure improvement and high performance.
  • Maintain compliance with treasury policies and monitor treasury processes to ensure proper authorization, documentation, segregation of duties, and adherence to established controls.
  • Implement and maintain effective internal controls to safeguard company funds and support internal and external audit requirements.
  • Consolidate treasury data for budgeting, forecasting, long-term financial planning and deliver accurate treasury reports to support management in making informed decisions.
  • Manage communications and documentation requirements for external audits and regulatory inquiries involving treasury disbursement operations.
  • Conduct training for team members on new systems, processes, and best practices while promoting continuous improvement, accountability, and innovation.
  • Support Management in banking negotiations, investor engagements, and financial due diligence activities.
  • Develop and manage short-term investment strategies for excess funds in accordance with the company’s liquidity and risk objectives.
  • Assess the company’s exposure to foreign exchange and interest rate fluctuations and recommend risk mitigation strategies when necessary.

Skills

Treasury management
Financial analysis
Leadership
Stakeholder management
Strategic thinking
Communication skills
Problem solving
Attention to detail
Negotiation

Education

Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or related field

Tools

ERP systems
Treasury Management Systems
Microsoft Excel

Job description

We are looking for a highly organized Treasury Manager to oversee the company’s treasury operations, including cash management, liquidity planning, payment processing, banking relationships, funding activities, and financial risk management while supporting strategic treasury initiatives aligned with the company’s overall business objectives.

The role will ensure adequate funds are available to support daily business operations while maintaining strong internal controls, regulatory compliance, and efficient treasury processes. The Treasury Manager will work closely with Finance, Accounting and other departments to optimize cash flow, manage funding requirements, improve treasury processes, and provide accurate financial information to management for decision-making.

Core Responsibilities:
Banking & Funding
  • Lead funding and financing activities, including loans, debt obligations, and capital requirements, to ensure adequate financial resources.
  • Maintain and strengthen relationships with banks and financial institutions, including the management of accounts, credit lines, and banking facilities.
Cash Management and Payments
  • Oversee the company’s daily cash positions, cash flow forecasts, liquidity requirements, disbursement and collection activities, ensuring proper cash allocation, timely payments, and effective cash flow management.
  • Optimize working capital and ensure sufficient funds for operations and projects.
  • Evaluate and improve electronic payment channels and banking solutions to enhance transaction efficiency, security, and control.
Treasury Compliance & Internal Controls
  • Develop and monitor relevant treasury KPIs to provide performance updates and recommendations to Management and mentor the treasury team to ensure improvement and high performance.
  • Maintain compliance with treasury policies and monitor treasury processes to ensure proper authorization, documentation, segregation of duties, and adherence to established controls.
  • Implement and maintain effective internal controls to safeguard company funds and support internal and external audit requirements.
Reporting and Strategic Support
  • Consolidate treasury data for budgeting, forecasting, long-term financial planning and deliver accurate treasury reports to support management in making informed decisions.
  • Manage communications and documentation requirements for external audits and regulatory inquiries involving treasury disbursement operations.
  • Conduct training for team members on new systems, processes, and best practices while promoting continuous improvement, accountability, and innovation.
  • Support Management in banking negotiations, investor engagements, and financial due diligence activities.
Risk & Investment Management
  • Develop and manage short-term investment strategies for excess funds in accordance with the company’s liquidity and risk objectives.
  • Assess the company’s exposure to foreign exchange and interest rate fluctuations and recommend risk mitigation strategies when necessary.
KEY QUALIFICATIONS
  • Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or a related field.
  • 5–8 years of progressive experience in treasury, corporate finance, cash management, or a related treasury function, with at least 3 years in a supervisory or managerial capacity.
  • Demonstrated experience in banking relationship management and financing arrangements, with knowledge of AMLA and applicable banking compliance requirements.
  • Experience in managing cash flow and liquidity requirements for multi-entity organizations is an advantage.
  • Proficient in ERP systems, treasury management systems, and Microsoft Office applications, particularly Excel.
  • Strong analytical, problem-solving, and decision-making skills, with keen attention to detail.
  • Excellent communication, leadership, negotiation, and stakeholder management skills.
  • Ability to work effectively in a fast-paced environment, manage multiple priorities, and meet deadlines.
  • CPA, CFA, CTP (Certified Treasury Professional), or equivalent certification is an advantage.
WORK ARRANGEMENT: Full Onsite
OFFICE LOCATION: Las Piñas City, with an upcoming relocation to The Village Square- Alabang.
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