Enable job alerts via email!

Senior Treasury Manager (Debt Financing Exp)

Robert Half International Pte Ltd

Singapore

On-site

USD 80,000 - 120,000

Full time

4 days ago
Be an early applicant

Boost your interview chances

Create a job specific, tailored resume for higher success rate.

Job summary

Join a market leader in the real estate sector as a Senior Treasury Manager, where you'll oversee cash and debt management, ensuring liquidity aligns with strategic growth. This role involves managing relationships with financial institutions and negotiating funding arrangements to support the company's business strategy. With a focus on financial risk management and capital markets, you'll play a crucial role in executive decision-making. If you have a strong background in finance and are looking for a challenging opportunity, this position offers a chance to make a significant impact in a dynamic environment.

Qualifications

  • 10+ years of experience in capital markets and financial risk management.
  • Detail-oriented and proactive with excellent interpersonal skills.

Responsibilities

  • Manage cash and debt operations, ensuring sufficient liquidity.
  • Analyze capital structure and provide financial market insights.

Skills

Cash Management
Debt Management
Financial Risk Management
Capital Markets
Interpersonal Skills

Education

Bachelor Degree in Accountancy

Job description

The Company

Be part of a market leader in the real estate space with successful expansion in the Asian region. Due to evolving business needs, we are actively recruiting for a Senior Treasury Manager to join our established business in Singapore.

The Role

  1. Reporting to the CFO and managing a team, you will be responsible for cash and debt management, managing relationships with financial institutions, negotiating funding arrangements to align with the group's business strategy, and managing banking and loan operations.
  2. Key responsibilities include securing cost-effective funding through debt financing, capital markets, and structured financing solutions.
  3. Analyzing capital structure efficiency and managing financial risks.
  4. Overseeing the group's cash position, ensuring sufficient liquidity, and aligning with business growth and strategic initiatives.
  5. Reporting on cash positions, liquidity forecasts, and providing financial market insights and recommendations to support executive decision-making.

Your Profile

  1. Possess a Bachelor Degree in Accountancy.
  2. Minimum 10 years of relevant experience in capital markets, liquidity, and financial risk management within the real estate industry.
  3. Detail-oriented, resourceful, proactive, with excellent interpersonal skills.

Apply Today

Please send your resume in WORD format only, quoting reference number GC13193453, by clicking the apply button. Note that only shortlisted candidates will be contacted.

Robert Half International Pte Ltd. Co. Registration no.: 200612189E | EA Licence no.: 07C5595 | Chia Lan Xian Gina EA Registration no.: R1109282

By clicking 'apply', you consent to Robert Half using your personal information to process your application and contact you about future opportunities. For details on data processing and your rights, please read the privacy notice. Please do not submit sensitive personal data such as government IDs, ethnicity, gender, religion, marital status, or trade union membership, as we do not collect such data at this time.

Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.