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Senior Manager, Treasury

8-10 Years
  • Posted a month ago
  • Be among the first 10 applicants

Job Description

About the Role

Our client, a growing APAC business, seeks a Treasury Director to join their Singapore-based regional team. You'll work directly with the Group Head of Treasury and regional business heads, managing liquidity, optimizing capital deployment, and mitigating financial risks to support our rapid growth.

Responsibilities

  • Lead regional cash management and liquidity forecasting to support rapid fintech operations and settlement flows.
  • Design and execute hedging strategies to mitigate foreign exchange (FX) and interest rate risks across digital platforms.
  • Manage strategic banking partnerships and negotiate pricing for credit facilities, payment rails, and clearing services.
  • Optimize working capital deployment across multi-currency digital wallets, merchant accounts, and corporate entities.
  • Ensure strict regulatory compliance with local central bank capital requirements, safeguarding rules, and treasury controls.
  • Drive automation initiatives by implementing Treasury Management Systems (TMS) and integrating payment APIs.

Requirements

  • Degree in Finance, Accountancy, or Economics; Certified Treasury Professional (CTP) or CFA designation is a major advantage.
  • 8+ years of relevant treasury experience, with substantial exposure to fintech, digital payments, e-commerce, or transactional banking.
  • Deep knowledge of FX hedging, cross-border fund flows, automated clearing houses, and liquidity management.
  • Strong technical proficiency with Treasury Management Systems (e.g., Kyriba, SAP), Bloomberg, and advanced data modeling.
  • Excellent stakeholder management skills, with the ability to navigate regulatory landscapes and collaborate with product teams.

Company EA License: 18C9146

Personnel EA License: R21103564

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About Company

Job ID: 150605015

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