Manager, Treasury

5 days ago


Singapore Sephora Full time

At Sephora we inspire our customers, empower our teams, and help them become the best versions of themselves. We create an environment where people are valued, and differences are celebrated. Every day, our teams across the world bring to life our purpose: to expand the way the world sees beauty by empowering the ExtraOrdinary in each of us.

We are united by a common goal - **to reimagine the future of beauty.**

**The opportunity**:
Sephora SEA is looking for a Treasury Manager, who will be part of the regional finance team based in Singapore. Working closely with different teams across the organization, the Treasury Manager will take ownership of the Sephora SEA’s treasury function, be involved in key transformation projects and act as a strategic business partner. The Treasury Manager will manage relationships with regional Banking partners, ensure day-to-day cash management and ensure adherence to compliance and local regulatory requirements.

This role reports directly to the Finance Director, SEA.

**You will shine here if you enjoy**

Owning Treasury and Cash Management activities to deliver performance and support operations
- Drive the companies’ cash flows in conjunction with local heads of finance, by anticipating incoming cash and outgoing commitments (Strat Plan, Budget, R1, R2, 3 months rolling forecasts)
- Support and drive the achievement of Operating Cash Flow Generation (OCFG) target
- Manage daily cash positions and monthly cash flows to assess each entity’s liquidity and ensure proper funding of its ongoing operations
- Proactively contribute to the budget cycles with the finance team
- Track and manage treasury related risks (liquidity, FX, interest rates)
- Streamline the banking structure to centralize the available funds more efficiently to the group
- Supervise the intercompany cash flow settlements
- Animate and strengthen relationships with internal & external stakeholders (banks / payment providers / shareholders) to maintain important level of trust, and gain insights on market evolutions / changes
- Benchmark and challenge the FX rates and fees
- Ensure efficient & adequate funding of all non-cash pooled markets

Driving continuous organizational improvement for better efficiency and productivity
- Implement solutions throughout the organization (actuals reporting automation, cash forecasting enhancement, FX positions reports for SEA, Working Capital tracking, Supply Chain Financing, Intracompany funding )
- Maintain and develop policies and procedures to sustain adequate levels of control over treasury activities (including AP (Accounts Payable) / AR) in partnership with the internal audit department
- Optimize the financial results negotiating contracts, credit facilities, term deposits with banks

Delivering value and enhance cross-function collaboration and act as a business partner throughout the organization
- Liaise with other teams such as legal, accounting, and tax experts to make fully informed decisions: funding decisions, support specific operations (debt restructuring in non-cash pooled countries)
- Spread the cash culture presenting advice, recommendations, regular communications
- Participate in the regional S&OP (Sales & Operations Planning) and OTB process to gain insights into cash spending and to influence decisions.
- Liaise and partner with our Supply Chain organization to create an appropriated cash culture.

Catalysing payments (collection) transformation
- Benchmark payment trends in the region and negotiate fees / services with various payment providers
- Contribute to the improvement of omni-channel payments collection by supporting and co-leading various projects, including Fraud Detection and Prevention project, implementation of new payment methods.

**We would love to hear from you if**
- At least 5 years professional experience in a treasury function in a global company, with a strong focus on cash and liquidity management and working capital
- Relevant degree (finance / business administration) preferred
- In-depth knowledge of Treasury products and processes, including funding, cash management, payments, FX
- Knowledge in accounting and controlling as well as excellent analytical and IT skills (Treasury Management System knowledge would be preferred)
- Experience in project management in an international environment and working with tight deadlines
- Ability to manage multiple deadlines and good organization skills
- Effective communication skills cross levels and functions
- Fluency in English

**While at Sephora, you’ll enjoy...**
- ** The people.** You will be surrounded by some of the most talented leaders and teams - people you can be proud to work with.
- ** The learning.** We invest in training and developing our teams, and you will continue evolving and building your skills through personalized career plans.
- ** The culture.** As a leading beauty retailer within the LVMH family, our reach is broad, and our impact is global. It



  • 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...

  • Treasury Manager

    3 days 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

    2 weeks ago


    Singapore ICMG TD PTE. LTD. Full time

    Roles & ResponsibilitiesTreasury Manager ( Japanese Speaking )Role Overview:-Treasury operations for Singapore and South East Asia countries in executing, coordinating and monitoring of all group treasury activities in line with local regulations and business requirements.- Standardize foreign exchange and fixed deposit operation- Provide financial expert on...

  • Treasury Manager

    4 days ago


    Singapore MERCANTILE PACIFIC ASIA PTE. LTD. Full time

    The 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...

  • Treasury Manager

    2 weeks ago


    Singapore GENG TOK PTE. LTD. Full time

    Roles & ResponsibilitiesMonitor and manage daily cash positions, ensuring optimal cash flow and liquidity across accounts. Forecast cash requirements and develop strategies to meet short-term and long-term financial obligations. Identify and recommend investment and borrowing opportunities in line with company policy. Prepare periodic performance analysis....

  • Treasury Manager

    2 weeks ago


    Singapore TS GROUP PTE. LTD. Full time

    Roles & ResponsibilitiesKey ResponsibilitiesCash Flow & Liquidity ManagementMonitor and forecast the company's cash flow to ensure sufficient liquidity for operational and capital needs Develop and implement strategies to optimize working capital Manage investments and funding requirements to maximize returns and minimize risksBanking & Financial...

  • Treasury Manager

    2 days 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 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)...

  • Manager, Treasury

    5 days ago


    Singapore Sephora Full time

    At Sephora we inspire our customers, empower our teams, and help them become the best versions of themselves. We create an environment where people are valued, and differences are celebrated. Every day, our teams across the world bring to life our purpose: to expand the way the world sees beauty by empowering the ExtraOrdinary in each of us. We are united...


  • Singapore BRITISH-AMERICAN TOBACCO (SINGAPORE) PRIVATE LIMITED Full time

    **Purpose - Drive execution of the global treasury strategy within own area of responsibility. - Co-ordinate and manage the delivery of Treasury services, reporting and advice in areas such as external financing, credit facilities, banking relationships, funding, capital structures, interest rate, Foreign Exchange (FX) liquidity management, treasury...

  • Treasury Manager

    4 days ago


    Singapore Robert Half Full time

    **The Company** This is an excellent opportunity to join a high-profile and reputable industry leader within the marine industry. Due to evolving business needs, we are currently recruiting for an experienced Treasury Manager to be part of the established team. **The Role** Reporting to the Senior Treasury Manager and managing a team, you will be...

  • Manager, Treasury

    4 days ago


    Singapore Kudo Full time

    **Life at Grab** At Grab, every Grabber is guided by The Grab Way, which spells out our mission, how we believe we can achieve it, and our operating principles - the 4Hs: Heart, Hunger, Honour and Humility. These principles guide and help us make decisions as we work to create economic empowerment for the people of Southeast Asia. **Get to Know the...

  • Manager, Treasury

    4 days ago


    Singapore Grab Full time

    **Job Description**: **Life at Grab** At Grab, every Grabber is guided by The Grab Way, which spells out our mission, how we believe we can achieve it, and our operating principles - the 4Hs: Heart, Hunger, Honour and Humility. These principles guide and help us make decisions as we work to create economic empowerment for the people of Southeast...


  • Central Singapore PayPal Full time

    At PayPal (NASDAQ: PYPL), we believe that every person has the right to participate fully in the global economy. Our mission is to democratize financial services to ensure that everyone, regardless of background or economic standing, has access to affordable, convenient, and secure products and services to take control of their financial lives. Job...

  • Treasury Manager

    23 hours ago


    Singapore Sephora Full time

    **Sephora** is a global leader in omni channel beauty retailing, and a division of LVMH - Moët Hennessy Louis Vuitton. At Sephora, we stand together and we stand for something more. For empowerment, for exploration, for the opportunity to impact people’s lives through the unlimited power of beauty. We successfully operate more than three thousand points...


  • Singapore TALENTVIS SINGAPORE PTE. LTD. Full time

    Roles & ResponsibilitiesTreasury Assistant ManagerResponsibility:Oversee comprehensive treasury functions, including cash management, bank loan management (rollovers, drawdowns, compliance), and intercompany loans. Review and monitor banking records, including a master database of bank accounts, internet-banking setups, and consolidated reports on banking...

  • Treasury Manager

    2 days ago


    Singapore Annexion Partners Pte Ltd Full time

    Location: - Singapore- Discipline: - Client type: - Contact: - Sloane Covey- Reference: - 1072- Posted: - about 1 hour agoWe are currently working with a Tier 1 Real Estate Developer to look for a Treasury Manager to join its team in undertaking a broad scope of work across the group. If you are successful in this role, you will have the opportunity to work...


  • Singapore Triton AI Pte Ltd Full time

    Perm role with VB; salary: $ 4,000 - 5,500 - Based in Duxton Hill - Experience in managing the Company’s group cash, working capital and foreign exchange risk - 3-5 years of Corporate Treasury experience required - Familiar with SAP, Treasury Management System, or Kyriba (added advantage) **Responsibilities**: - Responsible for daily treasury operations...


  • Singapore Bank of China Limited, Singapore Branch Full time

    Key Responsibilities:Draft and propose market risk policies and procedures to ensure the market risk monitoring process is in line with bank risk appetite and regulatory requirements.Set up and validate standard and rules of market risk measurement on treasury business. Perform periodical monitoring on risk measurement and follow up exceptions or limit...


  • Singapore PLUANG TECHNOLOGIES PTE. LTD. Full time

    Roles & ResponsibilitiesThis role will be responsible for overseeing the Asset/Liabilities Management (ALM), Liquidity Management, Scaling Infrastructure, partnership relationship management , and Investment activities. Reporting directly to the Head of Capital Markets, the ideal candidate will have a strong background in treasury operations within the...