Active management of the liquidity of the Company.
Accurate and timely preparation of short- and medium-term cash flow .forecasts including daily analysis of bank balances and preparation of weekly and adhoc cash position reports.
Develop strategies for investment in various financial instruments such as SGS, corporate bonds, money market funds, securities, etc. to optimize the rate of return on surplus funds.
Ensure proper accounting treatment of the various financial instruments in accordance with Singapore Financial Reporting Standards (International) (\xe2\x80\x9cSFRS(I)\xe2\x80\x9d) and compliance reporting for treasury in accordance with statutory, regulatory reporting requirements.
Liaise with the Company\xe2\x80\x99s bankers and ensure that banking forms to support various transactions are completed accurately and in a timely manner.
Preparation of financial reports to track the performance of investments on regular basis.
Booking of foreign exchange for loan settlement purposes.
Job Requirements:
Diploma or Degree in Banking / Finance or equivalent.
With 2 - 4 years of working experience in relevant field
Excellent communication skills
HOW TO APPLY:
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Trust Recruit Pte Ltd
EA License No: 19C9950
EA Personnel: Khor Khang Qin
EA Personnel Reg No: R22109669
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