Location
singapore
Posted
June 02, 2026
Commute
Local Area
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Job Description
The Treasury Manager will be responsible for managing the Groupβs global treasury operations, liquidity planning, banking relationships, financing activities, cash management, and treasury controls across multiple jurisdictions. The role will support the Groupβs operational funding requirements while ensuring compliance with financing covenants, treasury policies, and internal control standards.
Key Responsibilities
Cash & Liquidity Management
- Monitor and manage daily global cash positions across the Group.
- Develop and maintain comprehensive Group cash flow forecasting models to support long-term liquidity planning, debt servicing requirements, and funding strategies, including monitoring of cash availability for USPP loan obligations and RCF repayments.
- Optimise working capital and liquidity utilisation across entities.
- Coordinate intercompany funding, cash pooling, and treasury settlements across multiple jurisdict...