The role is responsible for the full spectrum of treasury functions including financing, cash management, and capital structuring to support the Group's growth
Job Summary
The role is responsible for the full spectrum of treasury functions including financing, cash management, and capital structuring to support the Group's growth.
Candidates will manage the SJ Bond Programme, oversee bank loan administration, and formulate hedging strategies to mitigate interest rate risks.
The position requires close collaboration with Group Finance, Legal, Tax, and Business Units to optimize liquidity and execute intercompany funding structures.
Matching Summary
The role is responsible for the full spectrum of treasury functions including financing, cash management, and capital structuring to support the Group's growth.
Skills & Requirements
Must-have
8 to 10 years treasury experience
Bond programme management knowledge
Hedging strategy execution
Financial modelling skills
Banking relationship management
Nice-to-have
Strong analytical reasoning ability
Comfortable working in ambiguity
Proficient in Bloomberg terminal
Treasury Management Systems experience
Positive attitude and teamwork
Key Requirements
Degree in Accounting, Finance, or Business Administration
ACCA, CA, CFA, CPA, or CTP certification desirable
8 to 10 years of solid treasury or corporate finance experience