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Regional Treasury Manager
Strong career progression and developmental opportunities
About Our Client
Our client is a leading European Multinational with extensive global operations. Due to their rapid expansions in the region, they are currently seeking an experience Regional Treasury Manager to join its regional team based in Singapore.
Reporting to Head of Treasury, you will manage the treasury operations for the Asia Pacific countries. You will be responsible for the overall cash management and cash flow forecast analysis as well as liase with bankers regularly on all loan and debt management functions. You will be the key person in negotiating banking facilities, bank loan agreements and ISDA documentation as well as supporting the business units on trade finance related issues. You will also be responsible for treasury operational controls and compliance to company's requirements while providing support for treasury systems upgrade.
The Successful Applicant
You should possess a degree in Finance/Accountancy/Business or its equivalent with at least 6-8 years' relevant treasury experience within a bank/corporate organization. You should have good working knowledge in Treasury mid-office functions with strong familiarity in cash and loan management. You should be highly proficient with Microsoft Excel and possesses good analytical skills. Other key attributes include strong communication skills with ability to work independently as well as in a team.
What's on Offer
This is a stable organization with strong growth potential in the region and they place strong emphasis on rotation opportunities across the company.