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About Our Client
Our client is an SGX-listed group with a strong track record spanning over half a century. Due to recent changes, there is now a need for a high calibre Treasury Manager to join its Singapore head office.
Reporting to the Head of Treasury, you are part of a dynamic team responsible for the monitoring and execution of group-wide foreign exchange / interest rate hedging and cash flow projections. You will work with various stakeholders to ensure sufficient liquidity across entities, improve the working capital cycle and support investment decision making and capital market activities.
The Successful Applicant
Ideally, you have an MBA or degree in finance or accounting with a minimum 4 years of work experience in corporate finance, foreign exchange and/or cash management. You should be detail-oriented, have great interpersonal skills and be able to work independently. CTP or CFA qualifications will be an added advantage.
What's on Offer
The successful candidate can expect a stable and rewarding career with growth opportunities.