Treasury Manager
4 days ago
Be a part of a dynamic global team that is at the forefront of financial services and technology. At PFYN, we welcome individuals that is not just looking for a job, but one that desires to develop a robust career. Ordinary and traditional is not in our blood. If you thrive in an exhilarating and refreshing environment, where you will be consistently pushed beyond the status quo and be rewarded for innovation and discovery, get in touch.
**Your responsibilities include, but not limited to**:
- Process local and foreign markets’ trades, leverage FX and OTC products
- Verify and reconcile dealing tickets and incoming trade confirmations
- Establish cash management function and manage operations
- Manage all beneficiaries and funding instructions
- Making financial plans, updating cash projection, analysing actual/forecast vs. plan
- Regular reporting of all treasury activities to management
- Communicating and coordinating with banking partners
- Managing day-to-day treasury operations and controls for Singapore entity
- Control risks and strengthen group governance in back office
**Requirements**:
- At least 3 years of relevant experiences in treasury/finance and/or accounting/audit, especially in treasury function
- A self-starter, possess initiative and a team player
- Highly motivated with proactive approach and curiosity
- Strong analytical and problem-solving skills
- Good at multi-tasking in a hyper-growth and high pressure environment to work under stringent deadlines
- Must be in possession of advanced skills in MS Office (especially Excel and PowerPoint)
- Degree or postgraduate qualification in Finance/Accounting is essential
- Detail orientated with exacting standards
- Able to work independently and on extended hours
- Fluent in both English and Mandarin is a must, Malay is a plus
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