Treasury Executive (Contract) / Cashflow management / Oil and Gas Industry / MNC

TRUST RECRUIT PTE. LTD.

Date: 3 days ago
City: Singapore, Singapore
Salary: SGD 3,000 - SGD 5,000 / mo
Contract type: Contractor

Job Responsibilities

  • Handle daily cash flow management function, monitor cash flow movements, ensure accurate and timely fund allocation.
  • Review and monitor the cash flow position of all the bank accounts, reconcile bank accounts for the company to maintain accurate cash balances and transaction records.
  • Check daily transactions with internal team to ensure daily cash flow accurate for the company’s funding arrangement to meet its immediate and future needs of cash.
  • Prepare daily bank instructions related treasury transactions and follow up to complete the whole process in time.
  • Process payments for subsidiaries in a timely manner according to internal request.
  • Coordinate with relation banks, to ensure all payments are processed and released on time.
  • Communicate with relevant banks to assist inquiries from other teams.
  • Monitor and follow up closely with abnormal transactions if any.
  • Assist on bank compliance check inquires related to daily transactions.
  • Prepare treasury reports, analyze financial data and assist on other ad-hoc jobs.
  • Degree in Accounting, Finance, Banking, Economics or equivalent.
  • Minimum 2 years of treasury experience.
  • Prior experience in cash management and trade finance will be an added advantage

HOW TO APPLY

Interested applicants, please click on “ Apply Now”. We regret only shortlisted candidates will be notified.

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