Senior Treasury Manager — Cash & Risk Optimizer

Singapore Post Limited

Singapore

On-site

SGD 70,000 - 110,000

Full time

13 days ago
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Job summary

Singapore Post Limited is seeking an experienced treasury professional to manage cash optimization, execute FX/FD/bonds, and coordinate inter-company lending within a compliant framework. The role involves administering the TMS and electronic banking platforms, preparing monthly treasury reports, and supporting audits.

You will also negotiate banking facilities, liaise with Legal and Company Secretary, and drive value through process improvements.

Qualifications

  • Degree in Accounting, Finance, or related discipline.
  • At least 5 years of relevant experience.
  • Proficiency in TMS and various electronic banking platforms and intermediate Excel skills.
  • Analytical mindset with the ability to identify issues and drive solutions.
  • Strong communication and people management skills.

Responsibilities

  • Manage SingPost's cash management for greater cash holdings efficiency, enhanced returns and to ensure greater consciousness and accountability on the deployment of cash.
  • Manage and execute FD, FX, derivatives, bonds, deposit and borrowing transactions
  • Receive and manage inter-company deposit & loan requests
  • Execute the treasury transactions in adherence to the Treasury policies eg, comply to counterparty limit etc
  • Set up and negotiate banking facilities at Company or ultimate holding company level and cooperate with legal team on review of agreements
  • Assist in treasury related documentation (e.g. bank documents, etc.)
  • Assist subsidiaries and BUs to obtain Banker’s Guarantee from banks.
  • Prepare and analyze monthly treasury reports and its related reports
  • Support Internal and External Audit
  • Compute WACC for SingPost
  • Develop relationships with other functions and BUs as well as with subsidiaries
  • Assist in ad-hoc treasury related projects
  • Act as TMS system and various electronic banking platform administrator
  • Maintain and update list of authorised signatory
  • Maintain user access and bank account details in the TMS system
  • Facilitate the Finance team and the counterparty’s back office on deal confirmation
  • Manage the preparation and execution of all documents arising from treasury transactions
  • Coordination with counter-parties and internally (e.g. Legal, Company Secretary etc.) on the necessary documentation
  • Input/processing of deals to ensure timely settlement
  • Liaise with other functional groups or banks to resolve execution issues and provide assistance where necessary
  • Assist with Insurance related matters

Skills

Analytical mindset
Strong communication
People management
Excel skills

Education

Degree in Accounting, Finance, or related discipline

Tools

TMS
Electronic banking platforms
Excel

Job description

Singapore Post Limited is seeking an experienced treasury professional to manage cash optimization, execute FX/FD/bonds, and coordinate inter-company lending within a compliant framework. The role involves administering the TMS and electronic banking platforms, preparing monthly treasury reports, and supporting audits.

You will also negotiate banking facilities, liaise with Legal and Company Secretary, and drive value through process improvements.

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