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About the Role
Our client, a growing APAC business, seeks a Treasury Director to join their Singapore-based regional team. You'll work directly with the Group Head of Treasury and regional business heads, managing liquidity, optimizing capital deployment, and mitigating financial risks to support our rapid growth.
Responsibilities
Requirements
Company EA License: 18C9146
Personnel EA License: R21103564
Job ID: 150605015
Skills:
Healthcare finance experience, Statutory financial reporting, Group consolidation principles, Internal controls and risk management, Finance transformation projects, Experience working with shared service centres, audit management, Data analytics and reporting tools, Financial statement review, IFRS, SAP enterprise ERP systems, SFRS I, Balance sheet governance
Skills:
Ms Office, Financial Planning And Analysis, Accounting, OneStream, Regulatory Compliance, SAP S4, Variance Analysis, Financial Reporting, Cashflow Projections
Skills:
credit facilities, Loan Syndication, hedging strategies, refinancing, Term Loans, Capital Management, debt structuring, financial systems enhancements, Treasury, Capital Markets, covenant compliance, banking relationships, revolving credit lines, financial strategy, bond issuances, funding requirements, liquidity positions, debt capital markets, Debt financing
Skills:
Treasury Management, Treasury system upgrade, Cash Management, Treasury reporting, Liquidity Management, FX risk management
Skills:
Treasury Management, Treasury system upgrade, Cash Management, Treasury reporting, Liquidity Management, FX risk management