Treasury Manager

Elev8 Holdings, Inc.

Makati

On-site

PHP 1,200,000 - 1,700,000

Full time

14 days+
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Benefits offered by this job

HMO & Life Insurance
Fitness Membership
Vacation & Sick Leave

Job summary

Elev8 Holdings, Inc. is seeking a Treasury Manager in the Philippines to oversee cash flow management, liquidity planning, disbursement planning, and banking relationships.

The role ensures adequate funding for operations, optimizes cash usage, manages debt and facilities, and strengthens treasury controls and compliance. The position supports financial planning with treasury analysis, aligns policies with corporate objectives, and reports to senior management on liquidity and funding options.

Qualifications

  • Education: Bachelor's degree in Finance, Accounting, Economics, Business Administration, or related field.
  • Experience: 5–8 years in treasury, cash management, banking, corporate finance, or similar.
  • Leadership: 2–3 years in a supervisory or managerial role.

Responsibilities

  • Oversee cash flow and liquidity management.
  • Manage treasury operations, disbursement planning, and payment execution.
  • Maintain banking relationships and negotiate facilities and services.
  • Prepare treasury reports, cash flow updates, and liquidity analyses.
  • Coordinate funding needs and payment priorities with internal teams.
  • Develop and enforce treasury policies and governance.
  • Define KPIs and oversee team performance.

Skills

Cash flow management
Liquidity planning
Treasury operations
Banking relationships
Debt facilities
Working capital management
SAP ERP
Excel
Process improvement
Leadership

Education

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

Tools

None

Job description

JOB OVERVIEW

The Treasury Manager is responsible for overseeing the organization’s treasury function, including cash flow management, liquidity planning, disbursements, banking relationships, and financing activities. The role ensures that the company maintains sufficient funds for operations, optimizes the use of available cash, manages debt and credit facilities, and strengthens internal treasury controls and compliance.

This position also supports financial planning and decision-making by providing treasury analysis, maintaining effective banking partnerships, and ensuring that treasury strategies, policies, and procedures align with operational and corporate objectives.

DUTIES AND RESPONSIBILITIES

1. Cash Flow and Liquidity Management

  • Monitor and review daily cash positions to ensure adequate liquidity for operational requirements.

  • Manage cash flow to optimize the use of available funds and support business continuity.

  • Develop short- and long-term cash planning strategies to meet funding requirements.

  • Provide visibility on cash availability, funding gaps, and liquidity risks.

  • Recommend actions to improve cash utilization and minimize funding constraints.

2. Treasury Operations and Disbursement Planning

  • Oversee day-to-day treasury operations, including cash movements, fund positioning, and payment execution.

  • Develop and maintain short- and long-term payment plans for outstanding payables to suppliers, service providers, and banks.

  • Ensure timely and accurate execution of treasury transactions and disbursements.

  • Coordinate with relevant departments to align payment schedules with available cash and funding priorities.

  • Monitor settlement activities and treasury-related transactions to ensure efficiency and control.

3. Banking and Financing Relationship Management

  • Maintain and strengthen relationships with banks and other financial partners.

  • Negotiate banking rates, credit facilities, and treasury-related services to secure favorable terms.

  • Oversee corporate credit lines and debt facilities, including monitoring availability, usage, and obligations.

  • Ensure compliance with loan covenants, financing agreements, and other banking requirements.

  • Coordinate with financial institutions on treasury requirements, facilities, and related transactions.

4. Treasury Reporting and Strategic Support

  • Prepare and provide treasury reports, cash flow updates, and liquidity analyses for management review.

  • Support executive leadership in treasury-related reporting, planning, and compliance requirements.

  • Provide insights and recommendations on cash flow, debt management, banking arrangements, and treasury risks.

  • Assist in executive decision-making by providing accurate treasury data and financial funding analysis.

  • Support strategic initiatives related to treasury optimization, financing, and working capital management.

5. Stakeholder and Financial Relationship Management

  • Maintain strong relationships with banks, financial institutions, suppliers, and internal stakeholders.

  • Coordinate with internal teams on funding needs, payment schedules, and treasury requirements.

  • Act as the main contact for banking and treasury-related concerns.

  • Support negotiations with banks on facilities, services, and commercial terms.

  • Ensure timely communication on treasury matters, payment priorities, and financial commitments.

6. Policy Development & Governance

  • Define and approve policy frameworks aligned with business strategy.

  • Oversee policy development, review, and standardization.

  • Approve and enforce policy implementation across functions.

  • Ensure compliance with regulatory and company standards.

  • Drive policy improvements and governance initiatives.

7. Performance Management

  • Define and approve KPIs aligned with business objectives.

  • Oversee and validate team performance results.

  • Approve performance ratings and evaluations.

Technical Knowledge

  • Strong knowledge of cash flow management, liquidity planning, treasury operations, banking relationships, debt facilities, and working capital management.

  • Experienced in managing daily cash positions, disbursement planning, debt obligations, and corporate credit facilities.

  • Familiarity with banking products, loan covenants, treasury controls, and financial risk management practices.

  • Strong understanding of financial reporting, treasury compliance, and management support requirements.

  • Proficiency in ERP systems (e.g., SAP) and advanced Microsoft Excel.

  • Experience with process improvement, automation initiatives, and system enhancements.

Behavioral Competencies

  • Strong leadership skills to guide and develop the treasury team toward target performance levels.

  • Analytical ability to interpret data, identify trends, and deliver actionable insights.

  • Strong risk-management orientation with sound decision-making on cash utilization, payment prioritization, and funding arrangements.

  • Excellent time management, prioritization, and stakeholder communication skills.

  • Exceptional accuracy and attention to detail in handling financial records and compliance reports.

Job Requirements

  • Education: Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or a related field.

  • Experience: 5 to 8 years of relevant experience in treasury, cash management, banking, corporate finance, or related financial management functions.

  • Leadership Experience: At least 2 to 3 years in a supervisory or managerial role.


Benefits:

  • HMO and Group Life Insurance

  • Anytime Fitness Membership

  • 12 days Vacation Leave and 12 days Sick Leave

  • Birthday Allowance and Newlywed Benefits

  • Bereavement Leave with Financial Assistance

  • Company Events

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