This is a treasury manager position with an Asian commodities firm. This is an urgent hire where immediately available or candidates with short notice periods would be given priority.
The company has production assets across Asia Pacific and Europe, operating more than 50 enterprises globally.
Job responsibilities would include:
- Managing banking relationships and coordination related to trade facilities
- Oversee liquidity management and cash management, including forecasting
- Handling of FX exposures, currency risk and crafting mid-long term hedging strategies
- Management reporting to HQ
Looking for candidates with strong liquidity management, cash management and FX management experience. Candidates from a commodities house/trading house would be preferred.
Singapore citizens/Singapore PRs only.
If you are interested, apply online today! We regret to inform that only suitable candidates will be contacted for further discussion.