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We are partnering a leading organisation to hire a Treasury Analyst to support cash management, FX exposure, and treasury operations across multiple entities. This is a hands-on role with strong exposure to regional treasury activities, internal controls, and cross-functional collaboration.
Responsibilities
Requirements
To apply
Please submit your resume (in MS Word format) to Michelle Ng at [Confidential Information], quoting the job title and reference number MI35739.
We regret that only successfully shortlisted applicants will be contacted.
Licence No: 16S8060
Registration No: R25141832
Job ID: 147037919
Skills:
Bank Reconciliation, Kyriba system, Cash Management
Skills:
Power Bi, Vba, Excel, Python, Treasury Operations, Fx, treasury risk, Cash Management, trade finance instruments, liquidity forecasting
Skills:
Kyriba system, Cash reconciliations, Cash Management, Reporting
Skills:
Cash Forecasting, Cash Management, Kyriba, Reporting, Bank Reconciliations
Skills:
Cash Forecasting, Cash Management, Kyriba, Reporting, Bank Reconciliations