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The Treasury Manager plays a critical role in driving the company's financial strength by leading day-to-day treasury operations, optimizing cash and liquidity, managing key banking relationships, and ensuring a strong control and compliance environment.
RESPONSIBILITIES:
REQUIREMENTS:
Please contact Angeline Wu at [Confidential Information] for a confidential discussion
EA License no: 16S8066 | Reg no.: R1438557
Only successful candidates will be notified.
Job ID: 152312971
Skills:
Liquidity Management, Loan Syndication, corporate financing, Structured Finance, Cash Management, Project Finance, Asset Finance
Skills:
Data Analytics, Liquidity Management, working capital optimization, treasury transformation, Cash Flow Forecasting, TMS enhancement, Process Automation
Skills:
SAP, Liquidity Management, Process Mapping, cash forecasting, banking facilities, standardization, foreign exchange exposure, ERP systems, banking platforms
Skills:
Cash Management, Foreign exchange hedging
Skills:
wire transfers , reconciliation of cash balances, Cash Management, loan drawdowns, Debt Management, cash flow positioning, global cash management policies, FX exposure hedging, daily cash settlements, foreign currency deals