Hybrid Treasury Manager

Posted last month

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About the role

  • Monitor daily cash positions across group entities.
  • Support cash pooling and intercompany funding arrangements.
  • Identify surplus cash and propose short-term investment opportunities.
  • Lead implementation of cash pooling and intercompany funding arrangements.
  • Evaluate and recommend funding options, facilities, and capital structure decisions.
  • Administer group bank accounts (openings, closures, signatories, portal access).
  • Liaise with banks on KYC, compliance, and operational matters.
  • Act as primary contact with banking partners and financial institutions.
  • Monitor & Manage banking costs, optimize account structures.
  • Oversee intercompany loan arrangements.
  • Develop, implement, and maintain group treasury policies (liquidity, investments, FX, hedging, approvals).
  • Ensure effective governance over account signatories, portal users, and treasury controls.
  • Manage short-term investments of surplus funds in line with group investment policy.
  • Work with business units to improve working capital efficiency and free trapped cash.
  • Support strategic projects requiring treasury input (M&A, restructuring, new market entry).
  • Deliver regular treasury reports: cash positions, forecasts, FX exposure, investment performance, covenant compliance.
  • Ensure compliance with external regulations, tax, audit, and internal controls.
  • Drive treasury system/process improvements.

Requirements

  • A degree in Finance, Accounting, Economics, or a related discipline is essential, with a Master’s degree or CFA/CPA certification being a valuable addition.
  • Over 5 years of experience in corporate treasury, banking, or corporate finance is required.
  • In-depth understanding of global cash management, intercompany funding, and core corporate finance principles.
  • Robust experience in managing FX and interest rate risks, as well as financial instruments.
  • A successful track record in cultivating bank relationships and negotiating financial facilities.
  • Exceptional leadership abilities and adeptness at stakeholder management.
  • A strategic mindset combined with strong analytical and problem-solving capabilities.
  • Ability to harmonize attention to detail with a broad oversight perspective.
  • Outstanding communication and negotiation skills with banks and senior stakeholders.
  • A proactive governance mindset, skilled in establishing and enforcing treasury policies.
  • Flexible and at ease in navigating a multi-entity, multi-jurisdiction setting.

Benefits

  • Celebrate your tenure with us! Receive generous milestone anniversary gifts that grow with each year of service.
  • Join a vibrant workplace culture with fantastic team-building activities and WFH arrangement.
  • Prioritize your well-being! Access our Flexible Spending Account (FSA) for various health and wellness needs.
  • Invest in your growth! Access annual training opportunities tailored to your role.

Job title

Treasury Manager

Job type

Experience level

Mid levelSenior

Salary

Not specified

Degree requirement

Bachelor's Degree

Location requirements

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