Treasury Manager - Singapore
1 month ago

Job description
, consectetur adipiscing elit. Nullam tempor vestibulum ex, eget consequat quam pellentesque vel. Etiam congue sed elit nec elementum. Morbi diam metus, rutrum id eleifend ac, porta in lectus. Sed scelerisque a augue et ornare.
Donec lacinia nisi nec odio ultricies imperdiet.
Morbi a dolor dignissim, tristique enim et, semper lacus. Morbi laoreet sollicitudin justo eget eleifend. Donec felis augue, accumsan in dapibus a, mattis sed ligula.
Vestibulum at aliquet erat. Curabitur rhoncus urna vitae quam suscipit
, at pulvinar turpis lacinia. Mauris magna sem, dignissim finibus fermentum ac, placerat at ex. Pellentesque aliquet, lorem pulvinar mollis ornare, orci turpis fermentum urna, non ullamcorper ligula enim a ante. Duis dolor est, consectetur ut sapien lacinia, tempor condimentum purus.
Access all high-level positions and get the job of your dreams.
Similar jobs
Debt Management · REIT · Adecco is partnering with an SGX-listed Co. with a business presence in over 10 Countries. We are seeking a treasury professional with exposure to debt management to join the treasury team · As the Treasury Manager, you will be working closely with the in ...
1 week ago
about the company · Our client is a long-standing global industrial leader, recognized for its engineering excellence across multiple technical sectors, and is looking for a seasoned Treasury Manager to join and lead their dynamic team. The Singapore office serves as a strategic ...
22 hours ago
Morgan McKinley is partnering with a client to appoint an experienced Treasury Manager to take ownership of group-wide liquidity, funding, banking relationships, and financial risk management. · This role works closely senior finance stakeholders, acting as the central point of a ...
1 week ago
+ Lead day-to-day treasury operations + Optimize cash deployment + Build relationships with banks + Administer bank account management + Oversee payment operations + Identify financial risks · + Enhance Treasury Management Systems · +, Bachelor's degree in Finance or related fie ...
1 month ago
Develop and implement treasury strategies to optimize cash flow, working capital, and liquidity across operational markets. · ...
1 month ago
This position focuses on overseeing regional treasury activities to ensure optimal liquidity and financial stability across the Asia Pacific landscape. · The successful candidate will manage daily cash positions by monitoring bank transactions and consolidating funding requiremen ...
3 weeks ago
Treasury Manager · Key Responsibilities: · Cash Flow Management: Prepare and maintain accurate short- and long-term cash flow forecasts across all business units. Monitor daily cash positions to ensure sufficient liquidity and working capital. Align cash flow projections with ope ...
6 days ago
We are now hiring an experienced Treasury Manager to manage liquidity, digital assets, and financial risks across multiple regions. · ...
1 month ago
A Singapore-based distributor has established a strong footprint across Asia and emerging markets. · Bachelor's degree in Finance, Accounting, Economics, or a related field; · Minimum 8 years of relevant experience in corporate treasury, · ...
1 month ago
Treasury Manager (Liquidity) - Asset-backed Commodities Trading · Working capital, cash, liquidity management · Commodities Trading · Team lead role · Description · This is an ambitious asset-backed commodities trading firm, with a significant presence in Asia Pacific. To support ...
5 days ago
This role supports day-to-day financial operations with a focus on cash management payments and liquidity in a fast-paced marine offshore environment.The position provides hands-on exposure to treasury banking and operational finance working closely with the CFO and wider finance ...
1 month ago
Globally recognised leader in the marine industry Clear career progression pathways About Our Client Our client is a global provider of marine transportation services Amid continued business growth the organisation is seeking a collaborative and experienced finance professional t ...
1 month ago
LUXASIA is a leading beauty omnichannel brand-builder of Asia Pacific enabling market entry and growth for luxury brands. · The Treasury Manager will oversee all aspects of the company's treasury function including cash management liquidity planning risk management banking relati ...
3 weeks ago
**[Job ID: ] · About the Role:** · We are seeking an experienced Treasury Manager to join our regional finance team. In this critical role, you will oversee all treasury activities for the company and its subsidiaries, ensuring optimal cash management, effective financing strat ...
4 days ago
Globally recognised leader in the marine industry · Clear career progression pathways · About Our Client · Our client is a global provider of marine transportation services. Amid continued business growth, the organisation is seeking a collaborative and experienced finance profes ...
1 week ago
Treasury Manager (Liquidity) - Asset-backed Commodities Trading · Working capital, cash, liquidity management · Commodities Trading · Team lead role · Description · This is an ambitious asset-backed commodities trading firm, with a significant presence in Asia Pacific. To support ...
3 days ago
SF Group – Singapore Regional Treasury Center · SF Group is a leading integrated logistics and supply chain service provider in China and across Asia, with businesses spanning express logistics, supply chain solutions, aviation logistics, international services and technology-ena ...
5 days ago
Treasury Manager - GH · Our client is looking for a Treasury Manager to support regional finance activities, managing cash flow, corporate banking, debt, and foreign currency transactions, while overseeing reporting, forecasting, and treasury operations. · Responsibilities · Over ...
4 days ago
Main Purpose of Job · The Treasury Manager supports the Regional Finance Manager of Yanmar International Singapore Pte Ltd (YIS) on Treasury activities, and is primarily responsible for coordinating on group financing activities; reporting, forecasting and budgeting process. · Th ...
2 days ago
· Roles & Responsibilities · My client an international commodity trading company is looking for qualified individuals to join our team as part of our growing business needs. · - Daily cash management, manage and monitor cash flow and maintain cash liquidity for the company. · - ...
5 days ago