Due to recent expansion plans, my client, a Fortune 500 MNC is seeking for a Treasury Analyst for their Singapore Office.
Reporting to the Treasury Director, you will be in charge of the following:
- Perform cash and liquidity management; liaising with banks to place transactions and manage on the company’s trade facilities
- Supporting system project implentation within APAC level
- Checking of Export Letters of Credit (LOC) and exporting of documents
- Involved in Loan management process
- Submission of Treasury reports
Do reach me at jane.ang@Eamesconsulting.com to know more!