Treasury Executive

PetroChina International (Singapore)

Singapore

On-site

SGD 60,000 - 90,000

Full time

14 days+
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Job summary

PetroChina International (Singapore) is seeking a Treasurer/Accounts professional to manage daily cash flow and banking activities, ensuring funds are allocated correctly and timely. You will prepare bank instructions and coordinate with banks to process payments for subsidiaries.

The role requires strong organization, attention to detail, and comfort with financial data. Proficiency in Chinese is essential for daily liaison with Beijing HQ and handling Chinese documents.

Qualifications

  • Degree in Accounting, Finance, Banking, Economics or equivalent.
  • Minimum 2 years of treasury experience.
  • Prior experience in FX trades, cash management, and trade finance will be an added advantage.
  • Possess good communication and interpersonal skills.
  • Proficient in Chinese as this role requires liaising with Beijing HQ on daily basis and to handle Chinese documents.

Responsibilities

  • Handle daily cash flow management function, monitor cash flow movements, ensure accurate and timely fund allocation.
  • Review and monitor the cash flow position of all bank accounts, reconcile bank accounts to maintain accurate cash balances and records.
  • Check daily transactions with internal team to ensure daily cash flow accuracy for funding arrangements.
  • Prepare daily bank instructions related to treasury transactions and follow up to complete the process in time.
  • Process payments for subsidiaries in a timely manner according to internal requests.
  • Coordinate with relation banks to ensure all payments are processed and released on time.
  • Communicate with relevant banks to assist inquiries from other teams.
  • Monitor and follow up closely with abnormal transactions if any.
  • Assist on bank compliance checks related to daily transactions.
  • Prepare treasury reports, analyze financial data and assist on ad-hoc jobs.

Skills

Cash management
FX trades
Trade finance
MS Excel
Interpersonal skills
Communication

Education

Degree in Accounting, Finance, Banking, Economics or equivalent

Tools

MS Excel
Banking Systems

Job description

This role is responsible to manage the company’s daily cash flow and banking activities, ensuring ensure funds are in the right place at the right time, prepare bank instructions, handle payments for subsidiaries, and work closely with banks to solve issues and answer inquiries.

This role is perfect for someone organized, detail-oriented, and ready to dive into financial data to help keep operations running smoothly.

Job Responsibilities
  • Handle daily cash flow management function, monitor cash flow movements, ensure accurate and timely fund allocation.
  • Review and monitor the cash flow position of all the bank accounts, reconcile bank accounts for the company to maintain accurate cash balances and transaction records.
  • Check daily transactions with internal team to ensure daily cash flow accurate for the company’s funding arrangement to meet its immediate and future needs of cash.
  • Prepare daily bank instructions related treasury transactions and follow up to complete the whole process in time.
  • Process payments for subsidiaries in a timely manner according to internal request.
  • Coordinate with relation banks, to ensure all payments are processed and released on time.
  • Communicate with relevant banks to assist inquiries from other teams.
  • Monitor and follow up closely with abnormal transactions if any.
  • Assist on bank compliance check inquires related to daily transactions.
  • Prepare treasury reports, analyze financial data and assist on other ad-hoc jobs.
Job Requirements
  • Degree in Accounting, Finance, Banking, Economics or equivalent.
  • Minimum 2 years of treasury experience.
  • Prior experience in FX trades, cash management, and trade finance will be an added advantage.
  • Possess good communication and interpersonal skills.
  • Proficient in Chinese as this role requires to liaise with Beijing HQ on daily basis as well as to handle Chinese documents.
  • Able to work in fast-paced environment.
  • Possess good quantitative skills, have basic financial modelling and advanced working knowledge in MS Excel.
  • Self-directed, hands-on, motivated and committed in meeting deadlines, targets and objectives.
  • Meticulous and a good team player.

We regret to inform that only shortlisted candidates will be notified.

Personal Data Protection

In submitting your personal data and/or resume, you shall be deemed to consent to us collecting, using and disclosing your personal data for the purpose of assessing your job application. Information collected may also be disclosed to the PetroChina Group of Companies (which includes PetroChina International (Singapore) Pte. Ltd., Singapore Petroleum Company Limited) for this purpose.

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