Location : Central Region
Post Date : 29 November 2017
Employment Type : Permanent
Job Order Number : 670200010196682
Line of Business : Finance & Accounting
Our client is a fast growing organization in the Fintech space and as part of their growth plans for the regional headquarters in Singapore, they are seeking a Treasury Analyst.
Reporting to the Treasury Manager, you will work independently and be responsible for transacting in foreign exchange, money markets as well as interest rate products on behalf of the group. You will also be involved in working capital management for the Asia group through balance sheet analysis, maintenance of the cash management system, setting up documentation and administration for loan and capital markets' transactions. Lastly, you will assist in preparation of internal reports for senior management and be involved in ad-hoc projects for the region.
This is a high visible role and will offer the opportunity to work with the senior management team in execution of grow strategies for the region.
As the successful candidate, you will possess a degree in Finance, Accountancy or Business Administration with about 3 - 5 years of relevant experience in treasury. You will also possess good communication and interpersonal skills and be confident in interacting with peers as well as the senior management team. Prior experience in cash flow forecasting and performing cash management activities as well as maintenance of internal controls will be essential.
Please send your resume, in WORD format only and quote reference number STE10196682, by clicking the apply button. Please note that only short-listed candidates will be contacted.
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