x
Get our mobile app
Fast & easy access to Jobstore
Use App
Congratulations!
You just received a job recommendation!
check it out now
Browse Jobs
Companies
Campus Hiring
Download App
Jobs in Singapore   »   Jobs in Singapore   »   Senior / Analyst, Treasury
 banner picture 1  banner picture 2  banner picture 3

Senior / Analyst, Treasury

Venture Corporation Limited

Venture Corporation Limited company logo

Job Summary


The position of Analyst supports the Senior Treasury Manager in all aspect of Treasury functions and is responsible for managing the Company’s group cash, working capital and foreign exchange risk. This shall include cash management activities, including planning and execution of cash flow management of all business segments of the organization, supporting the cash forecasting as well as foreign exchange risk management. The ideal candidate should enjoy seeking new opportunities and challenges.


Responsibilities :

  • Responsible for daily treasury operations and cash management activities including deposit placements in financial instruments to maximize returns for the company.
  • Manages the company's cash flow by working closely with internal stakeholders in forecasting cash needs, ensuring that sufficient funds are available to meet financial obligations.
  • Assist in preparing group working capital reports and liaise with sites’ finance and operations to optimize working capital position.
  • Work with business units to identify foreign currency exposure and improve FX forecasts accuracy.
  • Monitor and analyze economic and market information to determine potential impacts on foreign currency and recommend appropriate hedging strategies related to the foreign exchange risk management to the Treasury Manager.
  • Prepare analysis reports on Group FX hedging activities, such as currency exposure position, sensitivity analysis, gain & loss variance analysis.
  • Prepare and present treasury reports, cash positioning reports, cash forecasting, budgets, treasury strategies to management.
  • Support investment process which includes preparation of investment materials for existing and potential investments.
  • Manage the setup of bank accounts, ongoing bank account mandate and e-banking access maintenance, bank facilities set up and handling of bank compliance documents.
  • Support on any adhoc projects as and when required.

Requirements :

  • Degree in Accounting/Finance/Economics.
  • Candidates with 3-5 years of Corporate Treasury experience or corporate position from Big 4/International firms are preferred.
  • Strong background in financial statement analysis, valuation, accounting and business strategy analysis. Sound knowledge of making investment will be an added advantage.
  • Prior experience in manufacturing industry will be an added advantage.
  • Excellent verbal and written communications skills, with the ability to present analysis and recommendations to Management in a clear & concise format.
  • Must possess strong analytical, problem-solving, and strategic thinking skills with superior attention to detail.
  • Good organizational, multi-tasking and time management skills.
  • Ability to work under pressure to meet tight deadlines.
  • Strong quantitative and spreadsheet skills.

Sharing is Caring

Know others who would be interested in this job?

Similar Jobs
FORKLIFT DRIVER
Tnl Express Pte Ltd
Quick Apply
Loan Processing Officer (Banking Industry/ East )
Persolkelly Singapore Pte. Ltd.
Quick Apply
Assistant Revenue Manager
Canopus Ii Pte. Ltd.
Quick Apply
PRIME MOVER
Tnl Express Pte Ltd
Quick Apply
OPERATION EXECUTIVE
Snl Construction And Transport Services Pte. Ltd.
Quick Apply
Operation Supervisor (Night Shift)
Anderco Pte. Ltd.
Quick Apply
Senior/Executive, Nursing Informatics
Mount Alvernia Hospital
Quick Apply
Operation Manager
Anderco Pte. Ltd.
Quick Apply
Barber
Pg Fit Pte. Ltd.
Quick Apply
Document Controller
Mcpec Marine And Offshore Engineering Pte. Ltd.
Quick Apply