Title:  Senior Executive, Treasury

Job Requisition ID:  2116

Job Responsibilities

  • Daily cash management and placement of excess funds to enhance returns
  • Preparation of treasury reports and reconciliation on cash balances, bank accounts, guarantees and others
  • Opening and maintenance of bank accounts and electronic banking facilities and bank related matters such as bank fees, and KYC related enquiries
  • Support trade finance related matters such as Banker’s Guarantee issuance
  • Initiate, review and monitor funds transfer requests
  • Assist in month end reporting on treasury reports and preparation of journals for intercompany funds placements, loan documentation and other ad-hoc projects
  • Assist in projects such as system migration and UAT testing

Job Requirements

  • Degree or Diploma in Accounting, or other relevant professional qualifications (such as ACCA, CFA), or equivalent experience in Accounting.
  • Experience in treasury operations, including exposure to cash management, loan management, or foreign exchange (FX) management, is preferred. Candidates with related financial experience are encouraged to apply.
  • Proficient in MS Office Applications
  • Experience in PeopleSoft, SAP and Bloomberg systems will be advantageous