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Treasury Operations Executive / Cash Management Officer

SYNERGY MARINE PTE. LTD.

Singapore

On-site

SGD 70,000 - 95,000

Full time

Today
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Job summary

A leading maritime service provider in Singapore is seeking a Treasury Operations Executive to manage day-to-day cash operations, including bank account administration and Kyriba system support. The ideal candidate should have 4-8 years of experience in treasury operations, with hands-on experience in Kyriba implementation and KYC compliance. This role demands attention to detail, strong communication skills, and a compliance mindset. Offering competitive benefits and reporting to the Treasury Manager.

Qualifications

  • 4–8 years of experience in treasury operations or cash management.
  • Hands-on experience with Kyriba implementation and BAU operations.
  • Practical experience in bank account opening and KYC.

Responsibilities

  • Manage day-to-day cash management and bank account administration.
  • Coordinate sanctions-related operational tasks with banks.
  • Implement and support Kyriba treasury system operations.

Skills

Treasury operations / cash management
Kyriba implementation and BAU operations
Bank account opening, KYC
Sanctions-related bank interactions
Attention to detail

Tools

Kyriba
Job description

The Treasury Operations Executive is a hands-on operational role responsible for day-to-day cash management, bank account administration, payment execution, and sanctions-related operational coordination with banks, with direct involvement in Kyriba treasury system implementation, testing, and stabilization.

Key Responsibilities

1. Bank Account Opening, KYC & Sanctions Compliance

  • Execute bank account opening, amendment, and closure across group entities.
  • Prepare, submit, and track KYC / AML documentation, including periodic refreshes.
  • Liaise directly with banks on sanctions screening and compliance queries, including: Payment holds or sanctions hits, Requests for underlying transaction details or supporting documents, Clarifications on beneficiary, vessel, trade route, or counterparty information
  • Coordinate internal responses with Finance, AP, Legal, or Commercial teams as required.
  • Maintain documentation and audit trails relating to sanctions-related bank queries and resolutions.

2. Kyriba Implementation & System Operations

  • Act as an operational key user during Kyriba implementation:
  • Support bank connectivity and account configuration
  • Validate payment formats, mandatory regulatory fields, and screening-related data
  • Participate in UAT, parallel runs, and cut-over activities.
  • Perform post go-live Kyriba operations:
  • Payment processing and monitoring
  • User access and account maintenance
  • Track and follow up on Kyriba issues with internal IT and Kyriba support teams.

3. Cash Monitoring & Daily Treasury Operations

  • Perform daily cash balance monitoring across bank accounts.
  • Monitor cash movements and investigate delayed, rejected, or blocked transactions.
  • Support preparation of daily or weekly cash position summaries.
  • Execute intercompany transfers as instructed

4. Payments Processing & Exception Handling

  • Prepare and release payments via Kyriba in line with approved controls.
  • Monitor payment status and resolve:
  • Bank rejections Sanctions-related payment blocks
  • Missing or incorrect regulatory information
  • Coordinate with AP and Finance teams to correct payment data and resubmit.

5. Controls, Documentation & Compliance

  • Ensure compliance with authorization matrices and segregation of duties.
  • Maintain operational logs for: Bank Accounts and KYC, Sanctions queries and responses, Payment exceptions and resolutions
  • support internal and external audits by providing treasury and sanctions-related documentation

6. Coordination & Support

  • Act as a working-level contact for: Relationship banks, Kyriba support, Internal Finance, AP, IT and legal terms
  • Support treasury operational clean-ups and standardization initiatives

Key Skills & Experience

Required

  • 4–8 years of experience in treasury operations / cash management.
  • Hands-on experience with Kyriba implementation and BAU operations.
  • Practical experience in bank account opening, KYC, and sanctions-related bank interactions.
  • Familiarity with payment screening, sanctions holds, and bank compliance queries.
  • Strong attention to detail and follow-through.

Personal Attributes

  • Calm and methodical when handling bank compliance issues.
  • Comfortable dealing with repetitive operational follow-ups.
  • Clear communicator across banks and internal teams.
  • High integrity and compliance mindset.

Reporting Line

  • Reports to Treasury Manager / Finance Manager.
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