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Treasury Analyst


OFFICE SECRETARIES PTE. LTD.
a day ago
Posted date
a day ago
N/A
Minimum level
N/A
Full-timeEmployment type
Full-time
FinanceJob category
Finance
Role Accountabilities

Cash Flow Management
  • Formulate liquidity management strategy. Ensure swift implementation of cash pooling initiative across the group.
  • Working closely with Payments, Accounts Receivables and respective branches to manage cash requirement on a daily/weekly basis.
  • Timely and accurate calculation of the daily cash position for the group.
  • Manage and monitor movement of all cash transactions
  • Timely drawdown of revolving credit facilities (RCF) when required.
  • Placement of excess funds according to the approved strategy on the best terms with relationship banks.

FX Analysis
  • Identify and quantify the group's risk exposure in foreign exchange (FX).
  • Propose hedging strategies based on market conditions and outlook, scenario analysis and underlying business projections.
  • Ensure that all hedging strategies comply with Treasury Policy.
  • Analyse and conduct reasonable checks on the Treasury P/L.
  • Prepare FX performance analysis for management reports.

Banking-related Processes
  • Ensure internet banking operates efficiently and handle most banking issues.
  • Ensure bank fees are charged for the various bank accounts according to agreed rates.
  • Ensure bank account openings/closings are completed in timely manner.
  • Administer the signatory matrix and ensure bank accounts are opened in accordance with the signatory matrix.
  • Administer the e-banking platform users and authorizers, ensuring segregation of duties and compliance with other relevant Treasury policies.
  • Administer the corporate credit cards, ensuring proper approval and control are in place to prevent misuse.
  • Assist in banking documentation such as updates of Board resolutions, and other KYC-related documentation requested by the banks.

Vendor onboarding
  • Govern Vendor Onboarding Process relating to Treasury / Vendor Release role
  • Monitor vendor bank verification and release in K2/SAP

Others
  • Prepare weekly / monthly reports to management.
  • Work with internal and external auditors to ensure that controls and procedures are adequate and functional.
  • Assist in special projects.
  • Any ad-hoc tasks assigned by the direct supervisor or Manager.


Key Qualifications & Skills

Qualifications
  • A degree in Finance with minimum 3 years relevant working experience from MNC or Financial Institution
  • Preferably with shipping experience but not a must

Technical Skills
  • Must possess strong knowledge / know-how in Treasury Front Office
  • Must have experience in handling settlements, payment related and banking issues
  • Must have experience in dealing with various financial instruments such as foreign exchange (spot, forwards and swaps), money market, interest rate derivatives and bunkers.
  • Must have keen interest in keeping up to date financial market information, global economic development and banking regulations in various countries

Professional Skills
  • Ability to thrive in a fast-paced trading MNC work environment
  • A highly motivated self-starter
  • Independent - contributes to common goals
  • Responsible - capable of managing self and others;
  • Proactive - demonstrates commitment to continuous improvement;
  • Quality focused - adopts a thorough, systematic approach;
  • Professional - displays competence and credibility in finance field;
  • Practical - Excellent analytical & capable of solving problems in a logical manner
  • Strong interpersonal/communication skills, strong business acumen and technical expertise in areas of global finance.
Related tags
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JOB SUMMARY
Treasury Analyst
OFFICE SECRETARIES PTE. LTD.
Singapore
a day ago
N/A
Full-time

Treasury Analyst