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Brief Summary:
Join a dynamic team as a Treasury Manager, where you will support financial operations through effective cash management, risk mitigation, and strategic capital advisory. Leverage your expertise to enhance the financial standing of the organization.
Responsibilities:
Requirements:
Interested candidates who wish to apply for the advertised position, please click on Apply. We regret that only shortlisted candidates will be notified.
EA License No.: 01C4394 (PERSOL SINGAPORE PTE LTD)
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Job ID: 151848887
Skills:
wire transfers , reconciliation of cash balances, Cash Management, loan drawdowns, Debt Management, cash flow positioning, global cash management policies, FX exposure hedging, daily cash settlements, foreign currency deals
Skills:
treasury systems, digital banking platforms, Cash Management, FX risk, liquidity planning, Banking Operations
Skills:
Liquidity planning, Short-term investments, Banking Operations, Payments, Cash Management
Skills:
wire transfers , Cash Flow Positioning, Hedging Strategy, Treasury System Improvements, Interest Rate Structure, Cash Management, Banking Transaction Regulations, Cash Settlements, FX Exposure Hedging, Risk Management, Microsoft Office Excel, Reconciliation of Cash Balances, treasury functions, Global Cash Management Policies, Loan Drawdowns
Skills:
Microsoft Excel, Liquidity Management, financial scenario analysis, banking relationships, trade finance instruments, CargoWise, Financial Modelling, Cash Flow Forecasting, working capital optimisation, ERP systems