Hiring.Camp

Manager, Treasury

SingPost

·

Today

Location
SingPost Centre, Level 02, Singapore
Type
Full-time
Department
Finance
Seniority
Manager
Experience
5+ years
Source
Workday

Description

Job Description

Responsibilities

Operational 

Front- Office 

  • Manage SingPost's cash management for greater cash holdings efficiency, enhanced returns and to ensure greater consciousness and accountability on the deployment of cash 
  • Manage and execute FD, FX, derivatives, bonds, deposit and borrowing transactions
  • Receive and manage inter-company deposit & loan requests 
  • Execute the treasury transactions in adherence to the Treasury policies eg, comply to counterparty limit etc 
  • Set up and negotiate banking facilities at Company or ultimate holding company level and cooperate with legal team on review of agreements 
  • Assist in treasury related documentation (e.g. bank documents, etc.) 
  • Assist subsidiaries and BUs to obtain Banker’s Guarantee from banks. 
  • Prepare and analyze monthly treasury reports and its related reports 
  • Support Internal and External Audit
  • Compute WACC for SingPost 
  • Develop relationships with other functions and BUs as well as with subsidiaries 
  • Assist in ad-hoc treasury related projects 

Middle-Office 

  • Act as TMS system and various electronic banking platform administrator
  • Maintain and update list of authorised signatory
  • Maintain user access and bank account details in the TMS system 

Back-Office 

  • Facilitate the Finance team and the counterparty’s back office on deal confirmation
  • Manage the preparation and execution of all documents arising from treasury transactions 
  • Coordination with counter-parties and internally (e.g. Legal, Company Secretary etc.) on the necessary documentation 
  • Input/processing of deals to ensure timely settlement 
  • Liaise with other functional groups or banks to resolve execution issues and provide assistance where necessary

Others

  • Assist with Insurance related matters

Requirements

  • Degree in Accounting, Finance, or related discipline.
  • At least 5 years of relevant experience.
  • Proficiency in TMS and various electronic banking platforms and intermediate Excel skills. 
  • Analytical mindset with the ability to identify issues and drive solutions. 
  • Strong communication and people management skills. 

Skills

Excel

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