Treasury Manager

2 days ago


Singapore JLL Full time

JLL supports the Whole You, personally and professionally.
Job Description for Treasury Professional - Singapore (P3 Level)
**Company Overview**: Jones Lang LaSalle (JLL) is a leading global professional services and investment management company specializing in real estate. Our comprehensive range of services encompasses the leasing, acquisition, disposition, and management of commercial properties on behalf of clients worldwide. We are committed to delivering exceptional value to our clients and fostering a collaborative and dynamic work environment.
**Position Overview**: As a Treasury Professional at JLL, you will play a critical role in managing the company's cash flow, financial risk management, and ensuring efficient liquidity specifically in the Southeast Asia market ie (Singapore, Malaysia, Philippines, Indonesia, Thailand, Vietnam) and Korea. Working closely with senior management and cross-functional teams, you will contribute to the development and implementation of treasury strategies, policies, and procedures. You will work in a fast-paced environment, leveraging your analytical skills and financial acumen to optimize cash management and strengthen the company's financial position in these markets.

**Responsibilities**:Cash Flow Management**:
Ensure optimal utilization of funds, including funding and repatriation to and from Southeast Asia and Korea, or other countries as assigned.
Work with business, local finance and shared service centre teams to develop accurate cash flow forecasts.
Manage cross border intercompany loan position and repayment.
Oversee daily treasury operations in Australia & New Zealand, including cash position intercompany loan reconciliation, executing Treasury related wire transfers, and FX where required.
**Financial Risk Management**:
Develop and implement risk management strategies (eg exposure to foreign exchange risks) to minimize potential impacts on financial performance.
Ensure compliance with regulatory requirements related to financial risk management.
Negotiate and execute FX trades with foreign currency trading or bank platforms.
Management of cash investments within policy guidelines.
**Banking Relationship Management**:
Build and maintain effective relationships with our banking partners in Southeast Asia and Korea.
Keep up to date with regulatory changes, bank products and optimize banking services to achieve cost efficiencies.
Negotiate banking terms and conditions, fees, and pricing.
Work with Global and local team to roll out Global Initiatives such as implementing Treasury Management System (Kyriba) for payment connectivity with our ERP Systems and banking partners.
**Treasury Operations**:
Prepare bank account opening, closing and bank signatory updates.
Business partner to internal stakeholders including business lines, Tax, Legal, Procurement, Business Finance, and various other teams.
Support business with issuance of local bank guarantees.
Propose, present and execute initiates to further optimize treasury processes and systems in Southeast Asia to enhance operational efficiency and control, including outsourcing of manual functions to shared service centres.
Support Global Treasury’s initiates eg eradicate manual payments and cheques where possible.
Support Finance and shared service teams on issue resolutions.
Ensure teams adhere to Treasury’s policies and payment security.
M&A/ restructuring support, as needed.
**Reporting and Analysis**:
Prepare regular and ad-hoc reports on cash flow, liquidity, and financial risk exposure.
Present findings and recommendations to management and key stakeholders in Southeast Asia, Korea, the Regional APAC team and Global teams.

**Qualifications**:
Bachelor's degree in finance, accounting, or a related field. MBA or CTP certification would be a plus.
Experience in treasury management or related financial roles in Southeast Asia and Korea.
Experience in setting up FX lines with banks and executing FX transactions and hedging trades. Knowledge of FXAll is a plus.
Strong knowledge of treasury operations, cash management, financial risk management, and banking specific to Southeast Asia and Korea.
Curious and problem-solving skills to manage projects and draw actionable insights.
Ability to work independently and collaborate effectively in cross-functional teams.
Strong attention to detail and ability to manage multiple projects and cross time zone stakeholders.
Experience with Kyriba is a plus.
Experience with foreign currency trading platforms a plus.
Excellent communication and interpersonal skills.
Some travel may be required, as necessary.
Fluency in English and another Southeast Asian language is a plus.
Why JLL?
Competitive compensation and benefits package.
Opportunities for professional growth and career advancement.
Exposure to a global network and best-in-class resources.
A collaborative and inclusive work environment.
Personalized benefits that support personal well-being and growth:
JLL recognizes t


  • Treasury Manager

    2 weeks ago


    Singapore Seagate Technology Full time

    **About our group**: The Treasury team is built on trust, teamwork, and collaboration. We are looking to build a best-in-class treasury team that will not only safeguard Seagate’s cash but provide the necessary treasury services to the rest of the company by: - Providing access to Seagate finance teams with the necessary treasury tools. - Collaborating...

  • Treasury Manager

    1 week 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-; -...

  • Treasury Manager

    2 weeks ago


    Singapore ECOM Agroindustrial Corp. Full time

    To 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

    4 days ago


    Singapore VAST STARS CAPITAL PTE. LTD. Full time

    We are looking for an experienced Treasury Manager to manage global treasury operations across fund structures, trading platforms, and family office investments. This role covers fund capital allocation, multi-currency liquidity management, and cross-border banking structures. The Treasury Manager will ensure capital security, liquidity optimization, and...

  • Treasury Manager

    2 weeks ago


    Singapore DT One Full time

    **About DT One** DT One operates a leading global network for mobile top-up solutions, innovative mobile rewards and airtime credit services. We're able to provide greater access to digital communications for over five billion people across emerging economies, resulting in more active participation in the global economy. Our global network interconnects...

  • Treasury Manager

    2 days ago


    Singapore GREAT SYSTEM HOLDINGS (PRIVATE) LIMITED Full time

    **Position Overview The Treasury Manager supports CFO on Treasury activities, and is primarily are responsible for coordinating on group financing activities such as reporting, forecasting and budgeting process. **Key Responsibilities** - Responsible for directing and managing all treasury activities for Holding company and its subsidiaries. Support daily...

  • Treasury Manager

    20 hours ago


    Singapore ASMPT Ltd Full time

    Overview We are seeking a dedicated Treasury Manager to join ASMPT Global Treasury team. The Treasury Manager will oversee daily cash activities, manage banking relationships, and ensure compliance with financial regulations. This role supports the company's financial goals through data-driven decision-making and innovative treasury solutions. Key...

  • Treasury Manager

    2 days ago


    Singapore The Edge Partnership Holdings, Hong Kong Limited Full time

    Our client is a global trading group with a strong regional hub in Singapore. They are seeking a Treasury Manager to join the Regional Treasury Centre, with a primary focus on trade finance and financing solutions for their trading businesses. This role partners closely with senior finance leaders globally and works directly with banks, traders, and...

  • Treasury Manager

    20 hours ago


    Singapore ASM Pacific Technology Ltd. Full time

    We are seeking a dedicated Treasury Manager to join ASMPT Global Treasury team. As a subject matter expert, the Treasury Manager will be responsible for overseeing daily cash activities, managing banking relationships, and ensuring compliance with financial regulations. This role aims to support the company's long-term and short-term financial goals through...

  • Treasury Manager

    2 weeks ago


    Singapore The Edge Partnership Full time

    B- Posted by - Brendan Low- Recruiter Our client, a prominent MNC dealing in Supply Chain and Logistics with businesses in multiple geographies globally, is looking for a Treasury Manager to join its HQ based in Singapore. This role focuses will play a pivotal role in cash projection, cash positioning, financing plans, and managing foreign exchange (FX)...