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Deputy Group Treasurer

Seatrium | singapore, Singapore | Posted June 16, 2026

Position Overview

Cash and Liquidity Management

  • Oversee daily cash positioning activities including managing daily liquidity, cash position reconciliation and bank reporting.
  • Enhance and manage near-term cash flow forecasting process.
  • Manage cash management functions including cash flow forecasting and analysis, preparation of the daily cash report, investments.

Banking and Treasury Operations

  • Manage all domestic and global cash management banking relationships, including negotiating terms and fees.
  • Manage all foreign exchange and interest rate hedging transactions.
  • Drive/support the initiatives to optimize banking infrastructure and cash management processes.
  • Supervise all aspects of bank account management, including the opening, maintenance, and closure of bank accounts, updating and maintenance of authorized signatories and provision of e-banking entitlements.
  • Maintain strong communicati...

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