This is a contract role for a Corporate Treasurer, based in Singapore. The Corporate Treasurer will be responsible for managing the company's financial risks and cashflow positions, developing n implementing treasury strategies and policies, managing banking relationships, managing liquidity and investments, and creating financial models and forecasts.
Qualifications
- Expertise in risk managemet, cash management, treasury operations, and financial analysis
- Proficiency in financial modeling and forecasting
- Degree in finance, accounting, business, economics or equivalent
- Excellent written and verbal communication skills
- Ability to work independently and manage a part of a team
- Treasury Certification (CTP or CFA) is preferred