Job Description
Role Description
This is a part-time on-site role for a Corporate Treasurer / Treasury Manager based in Singapore. The responsibilities include managing the organization’s financial operations, such as cash flow management, liquidity planning, and banking relationships. The role involves developing and implementing treasury policies and procedures, overseeing foreign exchange and risk management activities, and ensuring compliance with financial regulations. The Corporate Treasurer will also provide strategic advice on financial matters and collaborate closely with various departments to enhance decision-making processes.
Qualifications
- Expertise in financial strategy, cash flow management, and liquidity planning
- Proficiency in risk management, foreign exchange operations, and investment planning
- Strong understanding of banking relationships, compliance, and financial regulations
- Abil...
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