Head of Treasury

Randstad Singapore

Singapore

On-site

SGD 180,000 - 290,000

Full time

3 days ago
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Job summary

Randstad Singapore is seeking a high-impact Treasury Director to lead strategic financial controls and capital infrastructure across dynamic regional markets. You will oversee cash administration, multi-currency flows, and liquidity positioning, while strengthening governance and risk management across entities.

Lead a senior finance team, partner with risk, product and technology leaders, and drive system automation to scale treasury operations and support ongoing expansion in the Asia-Pacific

Qualifications

  • Bachelor degree in finance, economics, accounting, or a related commercial discipline.
  • Extensive leadership background in corporate treasury, liquidity management, and high-volume transaction environments.
  • Proven expertise managing complex multi-currency fund movements, cross-border banking operations, and financial risk frameworks.
  • Strong executive presence with experience collaborating across cross-functional leadership teams.
  • Business proficiency required for Chinese speaking market coverage to effectively communicate with regional stakeholders.
  • A collaborative mindset with a drive to foster team growth and advance long-term career progression within a supportive environment.

Responsibilities

  • Drive strategic financial controls across regional markets.
  • Direct comprehensive cash administration, banking activities, and liquidity positioning across diverse regional business entities.
  • Maintain rigorous governance frameworks over capital segregation, ensuring strict alignment with internal controls and governing mandates.
  • Oversee multi-currency capital flows, operational reconciliations, and daily settlement processes to maintain optimal operational performance.
  • Formulate strategic liquidity frameworks to support operational requirements and long-term commercial expansion.
  • Manage key institutional banking partnerships, optimizing operational payment rails and funding structures across target regions.
  • Establish robust risk management protocols to mitigate counterparty, foreign exchange, operational, and liquidity exposure.
  • Partner with cross-functional leadership teams in risk, product, and technology to enhance treasury scalability and system automation.
  • Lead and mentor a high-performing finance team while advancing operational excellence across the organization.

Skills

Leadership
Treasury management
Liquidity management
Cross-functional
Risk management
Stakeholder communication
Chinese speaking

Education

Bachelor's degree in finance/economics

Job description

about the company

The organisation is a well-established international market leader within the Technology, Media, and Telecommunications (TMT) sector, renowned for its strong market reputation and collaborative corporate culture in Singapore.

about the job

This leadership opportunity offers a chance to drive strategic financial controls and shape capital infrastructure across dynamic regional markets.

Direct comprehensive cash administration, banking activities, and liquidity positioning across diverse regional business entities

Maintain rigorous governance frameworks over capital segregation, ensuring strict alignment with internal controls and governing mandates

Oversee multi-currency capital flows, operational reconciliations, and daily settlement processes to maintain optimal operational performance

Formulate strategic liquidity frameworks to support operational requirements and long-term commercial expansion

Manage key institutional banking partnerships, optimizing operational payment rails and funding structures across target regions

Establish robust risk management protocols to mitigate counterparty, foreign exchange, operational, and liquidity exposure

Partner with cross-functional leadership teams in risk, product, and technology to enhance treasury scalability and system automation

Lead and mentor a high-performing finance team while advancing operational excellence across the organization

skills and experience required

Bachelor degree in finance, economics, accounting, or a related commercial discipline

Extensive leadership background in corporate treasury, liquidity management, and high-volume transaction environments

Proven expertise managing complex multi-currency fund movements, cross-border banking operations, and financial risk frameworks

Strong executive presence with experience collaborating across cross-functional leadership teams

Business proficiency required for Chinese speaking market coverage to effectively communicate with regional stakeholders

A collaborative mindset with a drive to foster team growth and advance long-term career progression within a supportive environment

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