Job Summary
This position sits within Group Treasury Front Office in Singapore and is responsible for managing cash, liquidity, and FX activities for Singapore market. In addition to overseeing local treasury operations, you will play an active role in driving relevant front office initiatives. This role requires close collaboration with Country Finance teams and local stakeholders, serving as a strategic partner who delivers actionable insights and solutions to enable sound business and funding decisions.
This role gives early-career treasury professionals exposure to both local operations and global transformation projects.
You'll work closely with Country Finance and Group Treasury leaders, providing insights that drive business actions and ensure sound cash and funding decisions. You'll not only manage daily operations like cash forecasting, liquidity monitoring, FX execution, and banking facilities, but also contribute to exciting global projects such as Treasury Management System (TMS) implementation, digital collections, and payment automation.
This is a unique opportunity to develop practical treasury skills while building visibility across the business. If you are analytical, curious, and eager to learn, you'll find plenty of room to grow here.
General Responsibilities
Country Treasury - Singapore
Cash Management:
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