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Brief Summary:
Join a dynamic team as a Treasury Manager, where you will support financial operations through effective cash management, risk mitigation, and strategic capital advisory. Leverage your expertise to enhance the financial standing of the organization.
Responsibilities:
Requirements:
Interested candidates who wish to apply for the advertised position, please click on Apply. We regret that only shortlisted candidates will be notified.
EA License No.: 01C4394 (PERSOL SINGAPORE PTE LTD)
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Job ID: 151848887
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:
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
Skills:
treasury systems, digital banking platforms, Cash Management, FX risk, liquidity planning, Banking Operations