Head of Treasury with a Global Listed Conglomerate

2 weeks ago


Singapore The Cap Consulting Group Pte Ltd Full time

**Minimum 10 to 15 years’ experience in treasury gained with large listed companies or MNCs**:

- **Has the added engagement experience with SGX, with good debt and capital markets experience.**

Our client is a renowned and global leader in its sector. For this leadership role, you will head up the Group Treasury function and manage a team of treasury professionals. This role reports to the Group CFO based in Singapore.

**Responsibilities**

**Treasury Strategy and Management**
- Directs global treasury policy, strategy and activities relating to banking partners, borrowings, placements, foreign exchange hedging, interest rate hedging and operational cash management.
- Researches developments and best practices related to treasury requirements and develops most effective hedging strategy to minimise company’s exposure to market fluctuations from foreign exchange and interest rate.
- Oversees company’s limits with banks and credit ratings of banks in accordance with treasury policies, validating forecasted cash flow positions and related borrowing needs on a rolling 12-month basis.
- Oversees collaboration with internal and external auditors on internal controls and risk management for all treasury activities.
- Maintains banking relationships and leverage on company's credit standing in evaluating fund raising options and project financing.

**Cash Flow and Liquidity Management**
- Defines strategy for optimising, company's cash balances through cash management, cash pooling, yield optimisation, intercompany borrowing and lending.
- Oversees team’s collaboration with Accounts Payable and Payroll for consolidation of data for cash flow monitoring and forecasting, liaising with Finance Partner on following up with customers’ payments when required.
- Drives team’s monitoring and preparation of company’s cash flow forecast to ensure availability of funds for investments and implements cash management systems to optimise efficiencies.
- Oversees the management of company’s liquidity risk across all locations and manages liquidity planning, monitoring and liquidity profiling.
- Oversees negotiation of interest rates and tenure of loan with various banks with whom there are short term loan agreements, depending on the requirement to raise money.
- Oversees foreign exchange / interest rates negotiations and transactions, and tenure of loan with various banks with whom there are short term loan agreements, fixed deposits and interest rate swaps.
- Oversees preparation of drawdown letters and ensures necessary approvals are obtained from management.

**Investment & Risk Management**
- Oversees treasury team in investment options / financial instruments and ensures that they are in line with company's treasury objectives, providing advice on investment of surplus funds in approved list of financial instruments.
- Drives the development of long-term and short-term investment strategies, making amendment to investment policies based on changing market conditions while assessing risk / return trade-offs.
- Oversees transaction costs and investment portfolio for company and advises on investment for the overseas’ premises/assets.
- Develops and reviews trading process and guidelines on the foreign and domestic currency market, collaborating with senior management in formulating investment strategies based on financial market conditions.
- Oversees the communication and coordination with shortlisted banks or financial institutions, obtaining terms of hedging instruments, introducing upcoming projects and to provide clarifications on queries from banks or Fls.
- Directs team in hedging activities to mitigate financial risks relating to interest rates on company’s borrowings / foreign exchange positions and monitors to ensure identified hedging opportunities are within defined risk tolerance.

**Fund Management and Reporting**
- Oversees the preparation of daily funds statement based on the funds requirement of all large value cheques issued.
- Monitors bank statements to assess whether there are surplus funds or if there is a need to borrow funds (e.g. short term and long term borrowings along with the average rate of borrowings, funds placed both domestic and international with the average rate of return, net borrowings, etc.)
- Reviews reports (e.g. Bank exposure reports, debt reports, facilities & utilisation reports, forecast & forward reports, etc.) and schedules pertaining to long and short term deposits placed and borrowed
- Monitor's treasury team’s calculation of interest on loans borrowed and on deposits placed (i.e. interest paid / accrued)

**Requirements**:

- Bachelor's Degree in Accountancy / Finance or equivalent. Postgraduate Degree in Accountancy or Finance will be added advantage.
- **Minimum 10 to 15 years’ experience in treasury gained with large listed companies**:

- **Added professional certifications such as CPA or CFA will be highly regarded.**:

- **Has debt and capital



  • Singapore VALENCY INTERNATIONAL PTE. LTD. Full time

    We are looking for a dynamic professional with 15+ years of experience in commodity financing, corporate treasury, budgeting, working capital management, fundraising and risk management. This role would be heading the global treasury function of Valency International Pte Ltd. **Responsibilities Responsible for Supply Chain and Trade Financing, Factoring,...


  • Singapore LICO RESOURCES PTE. LTD. Full time

    **The Company Our client is an established listed MNC with presence globally. They have consistently recorded a strong financial performance and are well-positioned to achieve their growth plans for the APAC region. This opportunity is for their existing Corporate Treasury team in Singapore **The Role The Corporate Treasury is responsible for the direction...


  • Singapore beBeeLeadership Full time

    **Head of Treasury Operations Role Overview**The Head of Treasury Operations is a strategic leadership position responsible for establishing and managing the company's global treasury framework. This role oversees daily transaction management, fund execution, liquidity and position monitoring, as well as risk control.**Key Responsibilities:**• Establish...

  • Head of Treasury

    3 hours ago


    Singapore PT BANK RAKYAT INDONESIA (PERSERO) TBK SINGAPORE BRANCH Full time

    **Job description** - Manage and perform day to day activities in treasury department to meet financial/regulatory requirement of the Bank. - Generating revenue through the execution of banking portfolios in interest rate and foreign exchange products. - Ensuring that trade execution is complete, on time and maintained as well as make sure that market and...


  • Central Singapore Emprego SG Full time

    **Location** - Singapore, Central Singapore**Job Type** - Full Time**Salary** - $6,250 - $7,083 Per Month**Date Posted** - 11 hours agoAdditional Details **Job ID** - 112070**Job Views** - 40Roles & Responsibilities - Global MNC in manufacturing - Internal rotation opportunities About Our Client - With a unique product offering and a forward-looking...


  • Singapore OBITA Full time

    Get AI-powered advice on this job and more exclusive features. The Head of Treasury Operations will be responsible for establishing and managing the company's global treasury framework to ensure secure, efficient, and compliant operations across cross-border payments and digital finance. Reporting directly to senior management, this role oversees daily...

  • Head of Treasury

    2 weeks ago


    Singapore Ambition Singapore Full time

    Opportunities to be part of a dynamic teamThe Head of Treasury will oversee all treasury functions, ensuring optimal liquidity, funding, and risk management for the company's global trading operations. A key focus is managing and expanding banking and financial institution relationships to support trade finance, working capital, and structured financing...

  • Head of Treasury

    6 days ago


    Singapore Ambition Singapore Full time

    Opportunities to be part of a dynamic team The Head of Treasury will oversee all treasury functions, ensuring optimal liquidity, funding, and risk management for the company's global trading operations. A key focus is managing and expanding banking and financial institution relationships to support trade finance, working capital, and structured...


  • Singapore Talentvis Full time

    Direct message the job poster from TalentvisCorporate Banking | Investment Banking | Insurance | Asset Management | Crypto Digital Assets | C SuiteHead of Treasury – Corporate Banking | SingaporeOur client, a well-capitalised and full-licensed wholesale bank in Singapore with strong roots in Asia, is currently seeking a seasoned treasury professional to...


  • Singapore BANK OF CHINA LIMITED Full time

    Assist Department Head to coordinate the overall risk management of the department, including independent monitoring and supervising employees to implement various risk control measures of the Head Office and Singapore Branch. - Assist in analyzing and evaluating the risk status of the department, identify potential risks and embed risk control measures into...