Treasury Manager

Candid-I

📍 Singapore, SG.01, Singapore

Full-time Other-General

Job Description


Roles & Responsibilities

My client an international commodity trading company is looking for qualified individuals to join our team as part of our growing business needs.

- Daily cash management, manage and monitor cash flow and maintain cash liquidity for the company.

- Monitoring and managing bank relationships and liquidity management, Co-ordinate and liaising with bank on the companys trade facilities.

- Liaise with banks on issues relating to cash management, credit facilities, opening and closing of bank accounts.

- Supervise and ensure smooth running for trade finance related activities such as letters of credit issuing and TR drawdown.

- Managing foreign currency exposure and foreign currency payments, forecasting of medium and long

- term funding and hedging requirements.

- Debt facilities management and manage lender relationships.

- Foreign exchange risk management and development of foreign exchange risk ...

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