Job Search and Career Advice Platform

Enable job alerts via email!

Treasurer, FX hedging/ Regional exposure (Immediate starter)

Talent Trader Group Pte Ltd

Singapore

On-site

SGD 100,000 - 125,000

Full time

3 days ago
Be an early applicant

Generate a tailored resume in minutes

Land an interview and earn more. Learn more

Job summary

A financial services firm in Singapore is seeking a Treasury Manager to work closely with the CFO and Regional Financial Controller. Responsibilities include cash management, funding and capital planning, foreign exchange management, and bank relationship management. Candidates should have a degree in Accounting, at least 5 years of experience in treasury operations, and FX hedging expertise. Interested applicants are encouraged to apply via email.

Qualifications

  • Minimum 5 years of experience in treasury operations.
  • Experience with foreign exchange hedging is essential.

Responsibilities

  • Monitor daily regional cash positions and ensure optimal liquidity.
  • Manage cash pooling and prepare budgets.
  • Forecast cash flows and verify payments to vendors.
  • Track internal and external debt obligations.
  • Build relationships with banking partners.

Skills

ACCA or CA or CPA
Accounting (hedge accounting)
SAP system
Treasury system
FX hedging experience

Education

Degree in Accounting
Job description

In this role, you will work closely with the CFO and Regional Financial Controller to manage cash, funding, foreign exchange, and banking relationships across our affiliates in the region.

Key Responsibilities
Cash Management
  • Monitor daily regional cash positions and ensure optimal liquidity levels.
  • Manage cash pooling activities according to company policy.
  • Support the preparation of annual budgets and track actual performance against forecasts.
  • Forecast cash flows and ensure sufficient funds for monthly operations.
  • Verify payments to vendors and employees.
Funding and Capital Planning
  • Track internal and external debt obligations.
  • Assist in managing inter-company funding needs and evaluating funding structures.
  • Monitor subsidiaries receiving funding support.
  • Analyze financial ratios and assess the organization's fiscal health.
  • Execute dividend distribution plans.
Foreign Exchange Management
  • Identify and monitor foreign currency exposures.
  • Execute and settle hedging activities according to the company’s hedging policy.
  • Report regularly to the global treasury team.
  • Support the development of the annual hedging policy.
  • Prepare financial reports in compliance with hedge accounting standards.
Bank Relationship Management
  • Build and maintain strong relationships with banking partners.
  • Regularly engage with bank officers to optimize service levels and gather feedback.
Requirements
  • ACCA or CA or CPA, or any Degree in Accounting
  • At least 5 years in treasury operations
  • FX hedging experience is a must
  • Skills and Knowledge Required: Accounting (hedge accounting), SAP system, treasury system

Interested applicants for the above advertised position(s), please kindly email an updated copy of your resume to: gs1@talenttradersg.com

EA License No.: 13C6305

Reg. No.: R1985956 VIVIEN TAN

For candidate who applied for the advertised position is deemed to have consented to us that we may collect, use or disclose your personal information for purpose in connection with the services provided by us.

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