Group Treasury Manager (Liquidity & Treasury Operations)

CALIBER8 PTE. LTD.

Singapore, Singapore
8+ years of treasury experience
Cash flow management expertise
Liquidity planning skills
This role offers a high visibility opportunity within a leading global maritime organization to manage group liquidity and financial risk

Job Summary

  • This role offers a high visibility opportunity within a leading global maritime organization to manage group liquidity and financial risk.
  • The successful candidate will oversee loan portfolios, manage banking relationships, and execute FX hedging strategies across multiple international entities.
  • Key responsibilities include driving improvements in treasury processes, systems, and reporting while supporting strategic finance initiatives.

Matching Summary

Match Score: 75

This role offers a high visibility opportunity within a leading global maritime organization to manage group liquidity and financial risk.

Skills & Requirements

Must-have

  • 8+ years of treasury experience
  • Cash flow management expertise
  • Liquidity planning skills
  • Banking relationship management
  • Multinational environment exposure

Nice-to-have

  • Strong communication across regions
  • Adaptable in lean setups
  • Hands-on approach to finance
  • Experience with FX hedging strategies

Key Requirements

  • 8+ years of treasury experience
  • Background in asset-heavy industry
  • Experience in multinational environments

Work Rights

Not specified

Tailored Resume

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