I am partnering with a FMCG player to hire a Treasury Assistant Manager/ Manager to support their growing business operations.
Responsibilities
You will be responsible for driving group treasury management and reporting out of the Singapore office. Key responsibilities include treasury planning and management reporting, loan and liquidity management, bank account management, compliance to financial covenants, FX management and settlement operations. In this role, you will be the treasury business partner to regional BU controllers. Due to the nature of the organization\'s business, you will also be involved in liaising with FX dealers, buying/selling FX contracts, and the preparation of hedging MTM reports.
Requirements
You should have at least 5 years of experience in treasury, with prior experience in cash, bank account management, and FX and derivatives management. To succeed in this role, you will need to be self-motivated, commercial, and hands-on.
To Apply
To apply, please submit your resume (in MS Word format) to Sarah Sim at ss@kerryconsulting.com, quoting the job title and reference number SS25203. We regret that only successfully shortlisted applicants will be contacted.
Registration Number: R21102761
License Number: 16S8060
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