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Assistant Manager/Manager - Treasury (Middle & Back Office) @ Southeast ~

PERSOL

Singapore

On-site

SGD 20,000 - 60,000

Full time

2 days ago
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Job summary

A leading Utilities Group company is seeking a Treasury Officer to oversee middle and back-office functions. This role involves managing financial product operations, conducting hedge accounting, and ensuring compliance with financial standards. Candidates should have 3-4 years of experience and a degree in accountancy or equivalent. Strong analytical skills and familiarity with SAP and Treasury Management Systems are essential. The position is based in Kallang Sector, Singapore.

Qualifications

  • 3 - 4 years of relevant experience in treasury operations.
  • Good working knowledge of financial products.
  • Strong analytical skills and ability to multi-task.

Responsibilities

  • Ensure smooth settlement of daily operations for financial products.
  • Manage inter-company loans and computation of interests.
  • Responsible for month-end activities and reconciliations.
  • Perform closing for Treasury Centre including management reports.
  • Provide hedge accounting advice to stakeholders.
  • Ensure compliance with accounting standards for financial products.
  • Assist with banking operations and system controls.
  • Participate in the Group's initiatives and ad hoc projects.

Skills

Analytical skills
Accounting knowledge of financial products
Multi-tasking ability

Education

Degree in accountancy or ACCA / CPA equivalent

Tools

SAP
Treasury Management Systems
Job description

Leading Utilities Group company

Duration: 15 months extendable/convertible

Working Location: Kallang Sector

Working hours: 08.30am – 6.00pm (Monday to Friday)

Job Summary

This role is responsible for the overall middle and back-office functions in a Treasury Centre within the company. Specifically, the person manages the operations of financial products and performs hedge accounting for the Group and closing for the Treasury Centre.

Job Responsibilities
  • Ensure smooth settlement of daily operations for financial products such as deposits, FX, borrowings & adherence of counterparty limits
  • Manage and monitor inter-company loans for computation of interests and loan settlement
  • Responsible for the Group’s month end activities and reconciliations for financial products such as valuations, hedge accounting for FX & borrowings, etc
  • Perform closing for Treasury Centre which includes management reports for monitoring and analysis, corporate tax and GST filings
  • Provide hedge accounting advice and queries to support stakeholders
  • Ensure the accounting for financial products are in compliance with the relevant accounting standards
  • Assist with administration for banking operations (account opening, authorised signatories update) and system controls for Treasury Management System
  • Participate and support in the Group’s initiatives and ad hoc projects
Job Requirements
  • 3 - 4 years of relevant experience with a degree in accountancy or ACCA / CPA equivalent
  • Good working and accounting knowledge of financial products
  • Strong analytical skills, meticulous and able to multi-task
  • Knowledge with SAP & Treasury Management Systems will be an advantage

Interested candidates, please click "APPLY" to begin your job search journey and submit your CV directly through the official PERSOL job application platform - GO Mobile.

Contact number: 8189 1194

We regret to inform that only shortlisted candidates will be notified.

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PERSOL Singapore Pte Ltd • UEN No. 200007268E• EA License No. 01C4394• Reg. • R1981246 • Bertram Lee Kian Hui

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