On behalf of our client we are looking for Treasury Analyst to work one on one basis
on various tasks.
Detail-oriented treasury analyst to manage and analyse the financial activities of our business. In this role, you will be required to analyse and interpret financial data, prepare treasury reports and analytical documents, generate financial forecasts, and Develop effective cash and asset management strategies. To be a successful treasury analyst, you should demonstrate attention to detail and be proficient in financial analytics software. A skilled treasury analyst should be able to produce accurate financial forecasts and implement effective strategies that ensure the organization's profitability.
Treasury Analyst Responsibilities:
• Overseeing day-to-day financial activities.
• Documenting transactions and updating ledgers and the financials database.
• Analysing and interpreting financial data.
• Preparing financial forecasts such as revenue, expenses, and loan estimations.
• Developing cash management, investment, and risk mitigation strategies.
• Providing financial advice on investments, loans, and liabilities.
• Preparing and presenting regular treasury reports, budgets, financial documents, and strategies to management.
• Implementing financial policies and procedures.
• Maintaining financial management systems.
• Ensuring that the organization is in compliance with all financial and legal regulations.
Kindly be informed that only shortlisted candidates will be contacted.
Gomes Divya.
P: +65 6631 8505 (Ext 405)
EA License no: 19C9769
E: [email protected]
Personnel Registration no: R22108982