Current jobs related to Strategic Treasury Manager - Singapore - beBeeFinancial
-
Executive, Group Treasury
7 days ago
Singapore CLI TREASURY LIMITED Full time**About Us** CapitaLand Group (CapitaLand) is one of Asia’s largest diversified real estate groups. Headquartered in Singapore, CapitaLand’s portfolio spans across diversified real estate classes which include integrated developments, retail, office, lodging, residential and new economy sectors such as business parks, industrial, logistics and data...
-
Strategic Treasury Manager
2 weeks ago
Singapore beBeeFinance Full timeJob Overview This role involves providing comprehensive treasury and financial services as part of our strategic team. The ideal candidate will support the end-to-end ship financing process, including drafting Requests for Financing (RfP) and negotiating term sheets. About You Diploma or degree in Finance, Accounting, Business, Economics, Maritime Business,...
-
Singapore CLI Treasury Limited Full timeExecutive / Senior Executive, Group Treasury (1-Year Contract) page is loaded Executive / Senior Executive, Group Treasury (1-Year Contract) Apply locations Singapore, Central Singapore time type Full time posted on Posted 6 Days Ago job requisition id JR About Us Headquartered and listed in Singapore in 2021 , CapitaLand Investment Limited (CLI) is a...
-
Treasury Manager
2 weeks ago
Singapore ACCA Careers Full time $90,000 - $120,000 per yearThe Treasury Manager will play a strategic role in managing the Group's global treasury operations, ensuring a robust capital structure, effective risk management, and funding strategies aligned with long-term corporate objectives. The role requires deep expertise in large-scale financing, complex banking relationships, and capital-intensive investment...
-
Treasury Manager
2 days ago
Singapore ECOM Agroindustrial Corp. Full timeTo reinforce our Global Treasury team, based in Singapore covering Asia-Pacific (APAC) region, we are looking for a **Treasury Manager** **Key responsibilities**: - General Treasury operations, Cash management and Reporting: _ - Daily cash position, loan management and intercompany funding - Daily control and approval of payment requests and loan requests...
-
Treasury Manager
10 hours ago
Singapore DT One Full time**Treasury Manager** **Key Role Responsibilities** Supporting the Head of Treasury to oversee the full scope of Treasury from Front to back office treasury including cash management, FX hedging, banking relationship management, operational as well as strategic treasury activities and business / credit risk management. Includes but not limited to-; -...
-
Manager, Treasury
4 weeks ago
Singapore Jurong Port Pte Ltd Full timeCash and Liquidity Management Monitor daily cash positions, ensure proper liquidity levels, and optimize cash flow to support operational and strategic needs. Debt and Investment Oversight Support debt refinancing execution and oversee the management of debt and interest rate risk, ensuring compliance with Group Code of Corporate Governance, debt covenants,...
-
Treasury Management Role
2 weeks ago
Singapore beBeeTreasury Full time $80,000 - $120,000Job Opportunity: Treasury Management RoleWe are seeking a skilled professional to join our team as a Treasury Manager. This role involves overseeing financial operations, managing cash flows, and implementing strategic funding solutions.The successful candidate will possess strong technical expertise in trade finance, excellent communication skills, and the...
-
Treasury Manager
2 weeks ago
Singapore Ethos BeathChapman Full time $90,000 - $120,000 per yearJob Details Location Singapore Salary Competitive Salary Job Type Permanent Ref BH-23517 Contact Jillian Yip Contact email Email Jillian Posted about 11 hours ago Our client is a long-established, privately-owned company in the maritime industry, known for its stability, strong values, and close-knit leadership. With a lean structure and a hands-on...
-
Treasury Manager
7 days ago
Singapore MERCANTILE PACIFIC ASIA PTE. LTD. Full timeThe Treasury Manager is responsible for managing the company’s liquidity, cash flow, banking relationships, and financial risks. This role focuses on ensuring the company has sufficient cash flow to meet operational requirements while strategically managing surplus funds to maximize returns. The Treasury Manager will develop and implement cash management...

Strategic Treasury Manager
3 weeks ago
Drive Global Financial Growth and Prosperity
Key Responsibilities:- Develop and implement hedging strategies to minimize foreign exchange exposure
- Optimize liquidity management and funding risk for regional entities
- Maintain balance sheet efficiency and comply with regulatory requirements