Treasury Manager ( Japanese Speaking )
Role Overview:
-Treasury operations for Singapore and South East Asia countries in executing, coordinating and monitoring of all group treasury activities in line with local regulations and business requirements.
- Standardize foreign exchange and fixed deposit operation
- Provide financial expert on business investments, cash liquidation risk, and foreign exchange risk
- Liaise closely and be able to negotiate with Japanese and Local financial institutions to propose better scheme for the business.
Requirements:
- Around 3-10 years of relevant experience with good knowledge of financial instruments and markets, including funding, cash management and derivatives
- Strong ability to propose and implement changes
- Business level of Japanese is required to comminicate with Japanese bank and Japan HQ
- At least a Degree in Accountancy / Business / Finance
Others:
Salary: SGD 6,000-10,000 +AWS + VB (depending on the individual performance)
Interview process: 2 rounds (Online or Face to Face)
Application Procedure
Interested candidates who wish to apply for this position, please click APPLY NOW or send your latest CV to us via email.
Email Address: [email protected]
Include in your CV: your current&expected salary, start date and notice period (if applicable)
We regret that only shortlisted candidate will be notified.
ICMG TD PTE. LTD
EA Licence No: 24C2427
Haruka Wada
EA Registration number: R2198870