Treasury Strategy & Digital Transformation Lead

FRASERS PROPERTY TREASURY PTE. LTD.

Singapore

On-site

SGD 180,000 - 260,000

Full time

7 days ago
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Job summary

FRASERS PROPERTY TREASURY PTE. LTD. in Singapore is seeking a seasoned Treasury professional to shape strategy, optimise capital and lead digital transformation across the Group.

You will drive arbitrage opportunities, forecast FX/IR and implement a new Treasury Management System, while collaborating with IT and business units to automate workflows. Responsibilities include evaluating forecasts, leading cash management improvements, ensuring robust controls, and driving efficiency through

Qualifications

  • Degree in Finance, Accounting, Economics or related field.
  • Professional certifications welcomed but not mandatory (ACCA/CPA/CFA).
  • At least 5 years of treasury experience in corporate/financial sectors.
  • Strong understanding of corporate funding, IR pricing/arbitrage and capital optimisation.
  • Practical knowledge of FX and Interest Rate derivatives, liquidity management, and cash flow forecasting.
  • Experience using Treasury Management Systems (TMS) such as Reval and Bloomberg; familiarity with SAP Treasury.
  • Exposure to system enhancements, UAT or treasury data migration; knowledge of electronic banking platforms is a plus.
  • Understanding of hedge accounting principles (IFRS 9) and MTM valuations.

Responsibilities

  • Explore strategies to optimise capital and lower cost of capital.
  • Prepare forecasts for FX and interest rates for budgeting.
  • Support system enhancements and automation to streamline treasury processes.

Skills

Treasury experience
IR pricing/arbitrage understanding
FX and rate derivatives knowledge
Cash flow forecasting
Hedge accounting IFRS 9 knowledge
AI/Automation awareness

Education

Degree in Finance/Accounting/Economics
ACCA/CPA/CFA (optional)

Tools

Reval
Bloomberg
SAP Treasury

Job description

FRASERS PROPERTY TREASURY PTE. LTD. in Singapore is seeking a seasoned Treasury professional to shape strategy, optimise capital and lead digital transformation across the Group.

You will drive arbitrage opportunities, forecast FX/IR and implement a new Treasury Management System, while collaborating with IT and business units to automate workflows. Responsibilities include evaluating forecasts, leading cash management improvements, ensuring robust controls, and driving efficiency through

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Birthday leave
Medical insurance
Staff rebates
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