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Treasury Manager (APAC, High-Growth Energy Sector)

APAC Michael Page

Singapore

On-site

SGD 80,000 - 120,000

Full time

Yesterday
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Job summary

Join a fast-growing renewable energy platform as a strategic treasury professional. You will work closely with the CFO to enhance capital deployment and liquidity management while driving project finance across key APAC markets. With competitive compensation and career progression prospects, this role offers a unique opportunity in a high-impact sector.

Benefits

Competitive compensation package
Challenging and rewarding role
Strong career progression opportunities
Exposure to high-value deals

Qualifications

  • 5-8 years of experience in treasury or corporate finance.
  • Strong understanding of FX hedging instruments.
  • Confident in engaging with banks and stakeholders.

Responsibilities

  • Drive liquidity management and optimize capital deployment.
  • Create and maintain FX exposure profiles.
  • Oversee working capital and cash flow forecasting.

Skills

Liquidity Management
Foreign Exchange Hedging
Capital Deployment
Cash Flow Forecasting
Stakeholder Engagement

Education

Degree in Finance, Accounting, or Economics

Job description

This is a high-impact opportunity to join a fast-growing renewable energy platform in a strategic treasury role. You will work closely with the CFO to oversee capital deployment, manage FX and liquidity, and drive project finance initiatives across key APAC markets.

Client Details

Our client is a well-backed renewable energy platform headquartered in Singapore, with a growing footprint across Asia. Focused on utility-scale clean energy projects, the company is actively developing solar, wind, and storage assets across key markets including Japan, India, and Southeast Asia. With strong financial backing and an agile operating model, they are positioned for significant regional expansion.

Description

  • Drive liquidity management and optimize capital deployment across development phases
  • Create and maintain FX exposure profiles; propose and execute hedging strategies
  • Act as point of contact with global banking partners on FX, treasury, and funding matters
  • Support project financing and structuring in collaboration with the investment team
  • Oversee working capital, cash flow forecasting, and day-to-day treasury operations
  • Partner closely with the CFO and play a key role in strategic treasury decision-making

Profile

  • A degree in Finance, Accounting, Economics, or a related discipline
  • 5-8 years of experience in treasury, corporate finance, or banking, ideally with regional exposure
  • Strong understanding of FX hedging instruments and liquidity management strategies
  • Confident in engaging with banks and senior stakeholders
  • Adaptable and intellectually curious, with a strong sense of ownership in high-growth environments

Job Offer

  • Competitive compensation package
  • Challenging and rewarding role with strong career progression opportunities
  • Exposure to high-value deals and capital structuring in the renewable energy sector

To apply online please click the 'Apply' button. For a confidential discussion about this role please contact Swee Kee Chu (Lic No: R21103443/EA No.: 18C9065) on +65 6416 9889. Michael Page International Pte Limited, company number 199804751N (including Page Executive (53295516A) and Page Personnel Recruitment Pte Ltd (Registration Number: 201736642C)) operates under the EA Licence Numbers of 18S9099 and 18C9065.

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