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6 Months Treasury Assistant Manager - HEALTHCARE

RECRUIT EXPRESS PTE LTD

Singapore

On-site

SGD 60,000 - 80,000

Full time

Today
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Job summary

A leading recruitment agency in Singapore is seeking a finance professional to manage treasury operations. The role involves daily reconciliation of cash pooling and investment portfolio balances, monitoring cashflow, and processing transactions through SAP. The ideal candidate has over 3 years of experience, a strong understanding of financial markets, and proficiency in relevant tools. Interested candidates should apply via email.

Qualifications

  • At least 3 years of experience in finance or treasury operations.
  • Strong grasp of financial markets, cash management, and risk management.
  • Meticulous, accurate, timely, with strong work ethics.

Responsibilities

  • Daily reconciliation of cash pooling balances and cash balances for investment portfolios.
  • Assist with cashflow forecasting and monitor large cash movements.
  • Input transactions into TMS and process trade settlements.

Skills

Proficiency in Microsoft Excel
Treasury Management System
SAP ERP System (S4HANA)
Proficiency in Power BI
UiPath
Effective communicator

Education

Tertiary qualifications in Accountancy or Finance

Tools

SAP S4HANA
Treasury Management System
Job description
  • Singapore Dollar cash pooling - Daily reconciliation of (a) cash pooling balances at two banks and (b) cash balances for four investment portfolios. This includes the downloading of bank statements from bank portals and extraction of reports from Treasury Management System (“TMS”) for reconciliation.
  • Assist Cashflow Forecasting Lead to monitor and investigate large cash movements affecting cashflow forecasting (e.g. payroll-related payments), and to adjust cashflow forecasting accordingly.
  • Collation of Fixed Deposit (“FD”) rate quotations from panel of approved counterparty banks. Upload the FD rates to TMS.
  • Input transactions into TMS. Process trade settlement via SAP S4HANA ERP (“SAP”) and/or bank portals for treasury investments executed in compliance with treasury policy and guidelines.
  • Assist with processing of subsidiaries’ fund transfer requests in SAP.
  • Liaise with banks and other external counterparties on timely settlement of trades.
  • Monitor daily banking transactions to ensure that incoming receipts and outgoing payments are processed on time and in good order.
  • Follow-up on bank advice/confirmation for fixed deposit placements.
  • Prepare and file a complete set of relevant softcopy trade settlement documents in SharePoint.
  • Liaise with Group entities on treasury intercompany loan advances and redemptions
  • Input transactions into TMS and process loan settlement via SAP and/or bank portals.
  • Monitor banking transactions to ensure loan advance receipts and redemption payments are processed on time and in good order.
  • Prepare and file all relevant documents for intercompany loan settlements in softcopies.
  • Prepare monthly treasury intercompany loan register and monthly statements.
Requirements
  • Tertiary qualifications in Accountancy or Finance.
  • Experience: At least 3 years of experience in finance or treasury operations.
  • Technical competency: Proficiency in Microsoft Excel, Treasury Management System, and SAP ERP System (S4HANA). Proficiency in Power BI and UiPath would be advantageous.
  • Domain knowledge: Strong grasp of financial markets, cash management, risk management, and treasury accounting.
  • Personal attributes: Meticulous, accurate, timely, strong work ethics, and effective communicator.
  • Teamwork: Demonstrated ability to work collaboratively in a small team.

For interested candidate, please email your resumes to denyse.tan@recruitexpress.com.sg

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