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Manager, Treasury

MAPLETREE INVESTMENTS PTE LTD

Singapore

On-site

SGD 80,000 - 120,000

Full time

Today
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Job summary

A leading financial services firm in Singapore is seeking an experienced professional to support its Treasury function. The role involves managing financing activities, liquidity planning, and banking relationships while contributing to strategic initiatives. Candidates should have a degree in a relevant field and at least 7 years of experience in corporate treasury or finance, preferably in real estate. Strong analytical and communication skills are essential for success in this role.

Qualifications

  • At least 7 years of relevant experience in corporate treasury, corporate finance, or fund management.
  • Strong understanding of debt capital markets, derivatives, and treasury operations.
  • Proactive mindset, strong analytical and communication skills.

Responsibilities

  • Support execution of debt financing transactions and loan documentation.
  • Assist in managing FX and interest rate hedging strategies.
  • Prepare monthly forecasts and quarterly reporting packs for management.
  • Oversee treasury operations including payments and compliance.
  • Coordinate with banks on regulatory requirements.

Skills

Debt financing
Financial risk management
Analytical skills
Communication skills
Team collaboration

Education

Degree in Accountancy, Finance, Economics, Banking, Business Administration
Job description
The Role

This position will be supporting the Treasury function in managing financing activities, liquidity planning, financial risk management, and banking relationships for Mapletree. The role will contribute to strategic treasury initiatives, ensure operational excellence, and support the company’s growth across Singapore and overseas markets.

Job Responsibilities
  • Support execution of debt financing transactions and loan documentation.
  • Assist in managing FX and interest rate hedging strategies.
  • Prepare monthly forecasts and quarterly reporting packs for management and board.
  • Oversee treasury operations including payments, covenant monitoring, and compliance.
  • Coordinate with banks and internal teams on regulatory and KYC requirements.
  • Contribute to treasury system administration and process improvement initiatives
Job Requirements
  • Degree in Accountancy, Finance, Economics, Banking, Business Administration, or equivalent from a recognised university.
  • At least 7 years of relevant experience in corporate treasury, corporate finance, or fund management, preferably in the real estate or REIT sector.
  • Strong understanding of debt capital markets, derivatives, and treasury operations.
  • Strong analytical and communication skills, proactive mindset, and a collaborative team player
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