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INTERFLOUR GROUP PTE LTD is seeking a Treasury Executive to manage daily treasury cash operations, reporting, and trade financing. The role ensures timely receipts and repayments to suppliers and banks, coordinating with procurement and regional mills.
You will handle cash reporting, FX settlements and banking facility administration, maintaining precise records. A bachelor’s degree and 2–3 years of relevant experience with SAP and MS Office are required.
The Treasury Executive is responsible for daily treasury cash management and trade financing activities, including treasury reporting and keeping proper records of transactions and bank facilities. Liaise with various departments in ensuring timely shipment, collection and repayment to suppliers and banks.