Regional Treasury Analyst

The Position
Our client is a well-established industrial multinational company with its Asia headquarters in Singapore. Reporting to the Senior Treasury Manager, the Treasury Analyst will support a wide range of Treasury activities for the Asia-Pacific region, including cash management & liquidity, cash flow forecasting, FX and risk. You will collaborate with finance and shared service teams, monitoring cash pooling positions and FX payments as well as holding responsibility for bank administration and banking portal systems. You will also be involved in Trade Finance activities while playing a significant role in upcoming global treasury projects, including treasury system upgrades and other Finance & Treasury projects.

Required Skills & Experience

You will have a bachelor degree in Finance, Banking or similar field, plus 2-5 years of Treasury experience in multinational companies. You will have experience in cash and liquidity management and will ideally be familiar with several banking platforms. You will have good working knowledge of treasury operations and will be able to operate effectively in a fast-paced MNC environment, working closely with colleagues and building good relationships with a range of internal and external stakeholders.

To Apply
To be considered for this position, please click Apply to submit your Resume. We regret that only shortlisted candidates will be notified.


EA Licence No: 21S0587
Salary: $5,000.00 – $6,500.00 per month

Apply for this position

Allowed Type(s): .pdf, .doc, .docx