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Treasury Manager

INV CORPORATION PTE. LTD.

Singapore

On-site

SGD 80,000 - 120,000

Full time

Today
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Job summary

A leading financial management company in Singapore is seeking a Treasury Manager to oversee liquidity, investments, and risk management processes. The ideal candidate will have over 5 years of experience in financial management, strong analytical skills, and proficiency in financial modelling. You will be responsible for optimizing cash flow, managing banking relationships, and ensuring compliance with financial regulations.

Qualifications

  • 5+ years of experience in treasury or finance roles.
  • Strong understanding of financial management and risk analysis.
  • Detail-oriented with strong analytical and problem-solving abilities.

Responsibilities

  • Monitor daily cash balances and maintain sufficient liquidity.
  • Forecast cash flow requirements and ensure necessary funds.
  • Manage cash concentration and evaluate investment opportunities.
  • Oversee performance of investments and provide ROI reports.
  • Develop and implement hedging strategies for financial risks.

Skills

Financial modelling
Risk analysis
Negotiation
Communication
Analytical skills

Education

Bachelor’s degree in Finance, Accounting, or Economics
Master’s degree or certification (e.g., CFA, CTP)
Job description
Job Summary

The Treasury Manager is responsible for managing the organization’s liquidity, investments, and risk management processes. This role entails overseeing cash flow, optimizing financial resources, managing banking relationships, and ensuring compliance with financial regulations. The Treasury Manager will also be instrumental in implementing strategies for improving financial performance and mitigating risks.

Key Responsibilities
  • Monitor daily cash balances and maintain sufficient liquidity.
  • Forecast cash flow requirements and ensure funds are available for operations and investments.
  • Manage cash concentration, accounts receivable, and accounts payable processes.Identify and evaluate investment opportunities in line with the organization’s financial goals.
  • Manage the investment portfolio, ensuring compliance with the company's policies and risk tolerance.
  • Oversee the performance of investments and provide reports on ROI and risk levels.
  • Analyze financial risks, including currency, interest rate, and market risks.
  • Develop and implement hedging strategies to mitigate exposure to financial risks.
  • Collaborate with relevant teams to manage financial risks effectively.
  • Maintain and develop relationships with banks and financial institutions.
  • Negotiate terms for loans, lines of credit, and other financial instruments.
  • Monitor banking fees and manage transactions efficiently.
  • Prepare and present regular reports on treasury activities, cash flow, and investment performance to senior management.
  • Ensure compliance with local, federal, and international financial regulations.
  • Collaborate with internal and external auditors during audits and ensure adherence to financial policies and standards.
Requirements
  • Bachelor’s degree in Finance, Accounting, Economics, or a related field; a Master’s degree or professional certification (e.g., CFA, CTP) is preferred.
  • 5+ years of experience in treasury, finance, or a related role, with a strong understanding of financial management and risk analysis.
  • Proficiency in financial modelling and analysis.Strong understanding of treasury management systems and financial instruments.
  • Excellent negotiation, communication, and relationship management skills.
  • Detail-oriented with strong analytical and problem-solving abilities.
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