- Salary: Undisclosed
- Work Type: Permanent / Full Time
- Min. Education Level: Degree
- Field of Study: Accountancy, Banking & Finance
- Years of Experience: 8
- Skills: treasury, foreign exchange, M&A, cash management, risk management
This is a Senior Treasury Analyst role with a global coverage.
Our client is a US MNC with a global presence and a market leader in the manufacturing sector that it operates in. Due to growth in the business, there is now a newly created opportunity for a Senior Treasury Analyst based in Singapore, to be part of the global treasury function for the organization.
Reporting directly to the Head of Treasury based in Singapore, you will be responsible for cash management, risk management and capital market activities for the organization. This will include managing the company's financial risks and working capital needs through appropriate financial instruments and maintaining banking relationships. You will also participate in M&A activities for the organization and improve the effectiveness of the treasury function through implementation of new initiatives and technologies.
Ideally, you possess a degree in Accountancy or Finance or equivalent with at least 8 years of post-graduation experience in treasury. You should have experience in risk management, cash management and have experience dealing with financial instruments. You must be driven and motivated to succeed, have the ability to think strategically but hands on at the same time. To succeed in the role you should be independent with excellent communication and interpersonal skills are also essential to deal with varied levels of internal and external stakeholders.
The successful candidate can expect a competitive remuneration package in a market leading multinational with a strong culture that promotes success and growth.