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Senior Treasury Analyst- 25010596

MoneyGram

Singapore

Hybrid

SGD 80,000 - 100,000

Full time

Today
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Job summary

A financial services company is seeking a Senior Treasury Analyst in Singapore. The role involves managing liquidity, optimizing banking structures, and improving cash operations. Candidates should have a Bachelor's degree in a relevant field and 4-7 years of related experience, along with strong analytical and time management skills. The position is hybrid, requiring some office presence initially.

Benefits

Comprehensive Health Insurance
Life and Accident Insurance
Community Service Days
Tuition Reimbursement
Transfer Fee Reimbursement
Employee Assistance Program
Employee Referral Program

Qualifications

  • 4–7 years of treasury, cash management, or corporate finance experience.
  • Strong exposure to global banking platforms and liquidity operations.
  • High degree of accuracy and attention to detail.

Responsibilities

  • Monitor APAC cash positions and perform cash sweeping.
  • Prepare short-term liquidity forecasts and analyze variances.
  • Maintain banking platforms and user access.

Skills

Attention to detail
Analytical skills
Problem-solving skills
Time management
Financial analysis
Microsoft Excel
English proficiency

Education

Bachelor's degree in Accounting, Finance, Economics or related field
Certified Treasury Professional (CTP) designation

Tools

Kyriba
Fireblocks
FxALL
Oracle
Cognos
SQL
Job description
Description
About MoneyGram

Did you know there are 1.4 billion1 people in the world that are financially underserved by traditional banks? 🤔

In many cases, people that depend on remittances being sent or received, often across different countries. Sometimes even across different continents. MoneyGram impacts the daily life of 1.5 million customers, connecting families and businesses across borders.

By relying on a vast network of agents, by being present in 200+ different countries, and by developing cutting-edge payment technology, MoneyGram is paving the way for global financial fairness and inclusion!

Will you join us in our journey?

About the role

The Senior Treasury Analyst in Cash Management will effectively plan and help execute daily, weekly, and monthly liquidity, ensures timely and accurate cash positioning across MoneyGram companies and associated APAC branches in a multi-currency environment, and co-ordinate with the multi-functional team. The role calls for faithfulness in details—managing cash flows, optimizing banking structures, and supporting strategic treasury initiatives to safeguard and optimize company resources. This position will also develop a thorough understanding of the systems, software, technical processes and reporting in the treasury area in order to make recommendations for process improvements.

What you will get to do as Senior Treasury Analyst
  • Daily Cash Operations : Monitor APAC cash positions, perform cash sweeping, ensure funding of accounts and timely settlement, and resolve discrepancies promptly.
  • Liquidity & Forecasting : Prepare short-term liquidity forecasts, analyze variances, and ensure Agent Prefunds are optimized.
  • Banking Management : Maintain banking platforms, user access, bank account documentation, and partner with banks to improve service levels.
  • Payment Governance : Oversee high‑value payments, review payment controls, and ensure adherence to internal policies and regulatory requirements.
  • Process Improvement : Identify workflow gaps, automate manual routines, and enhance treasury systems to support operational excellence.
  • Treasury Projects : Support cash pooling and funds flow setup, system migrations, new banking structures, digital asset integration and cross‑functional initiatives.
  • Internal Collaboration : Work closely with Finance & Accounting, FX / Settlement, AP / AR, Tax, and Legal teams to ensure smooth cash operations, transparency, and strong stewardship.
What you will need to be Successful
Education
  • Bachelor’s degree in Accounting, Finance, Economics or related field or equivalent experience.
  • Certified Treasury Professional (CTP) designation will be advantageous.
Experience
  • 4–7 years of treasury, cash management, or corporate finance experience; strong exposure to global banking platforms, liquidity operations, and payment governance.
Essential Skills
  • High degree of accuracy and attention to detail.
  • Strong analytical and problems solving skills. Demonstrated organization and time management skills. Ability to handle multiple priorities in short time period within a dynamic environment.
  • Ability to work well with others under pressure in a fast‑paced, deadline driven environment.
  • Demonstrated ability to work independently with minimal supervision.
  • Self-driven and able to maintain focus on issues and escalated as necessary.
  • Solid understanding of banking products, SWIFT, and payment controls.
  • Ability to work with different levels of the organization to understand business goals.
  • Ability to plan strategically and breakdown to effective tactical steps.
  • Proven proficiency in financial analysis, modeling and forecasting.
  • Experience with various treasury software systems including Kyriba, Fireblocks and FxALL, preferred.
  • Strong experience with database reporting or business intelligence tools such as Oracle, Cognos, SQL, etc., will be a plus.
  • Advance Microsoft Excel and VBA knowledge a plus.
  • Fluent oral and written skills in English.
Essential Character Traits
  • High integrity, ownership, and discernment
  • Team Player
  • Responsive to Change
  • Respect for People
  • Systematic and Organized
  • Healthy Curiosity
  • Composed under Pressure
Why join Us?

Here are some reasons it is so easy to love your career with us!

  • Comprehensive Health Insurance - Full coverage for you and your family, including dental and vision care. Stay healthy and worry‑free!
  • Life and Accident Insurance - Peace of mind with coverage that protects you and your loved ones.
  • Community Service Days - Make a difference! Enjoy paid days off to volunteer and give back to your community.
  • Tuition Reimbursement - Invest in your future with our tuition reimbursement program. We support your educational and career growth.
  • Transfer Fee Reimbursement - Smooth transitions with reimbursement for any transfer‑related fees. We’ve got you covered.
  • Employee Assistance Program - Access to confidential counseling and support services for personal and professional well‑being.
  • Employee Referral Program - Help us grow our team! Earn rewards for referring talented friends and colleagues.
Location

This position is based in Singapore . It’s hybrid model of work, which means you will have to combine working in the office and working from home, however for the firt months your presence in the office every work day will be expected.

Qualifications
  • ..
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