WESCO International Logo

WESCO International

Analyst - Treasury

Posted 2 Days Ago
Be an Early Applicant
Hybrid
Singapore, SGP
Mid level
Hybrid
Singapore, SGP
Mid level
Manages daily treasury activities, including cash reconciliation, wire transfers, payments, bank reporting administration, banking documentation, account analysis, and cash forecasting. Partners with banks and internal stakeholders to resolve issues, supports liquidity and investment activities, and contributes to treasury process improvements and ad hoc projects.
The summary above was generated by AI

As a Analyst - Treasury, you will provide financial planning and analysis in the conduct of daily treasury activities. You will oversee corporate cash management, credit administration, administration of business insurance programs, and potentially also stock programs in an independent corporation or subsidiary. You will research economic trends and investment opportunities. You may assist senior staff with preparing materials and reports using standard methodologies and procedures. You will determine procurement of funds and monitors investments and collections.

Responsibilities:

  • Reviews and reconciles prior day cash balances
  • Prepare wire transfers and other funding necessary to balance the company's cash position.
  • Prepare daily intragroup wires and third party payments in accordance with company Limits of Authority policy
  • Serve as system administrator for bank reporting platforms.
  • Partner with our banking service providers to resolve issues
  • Prepare Bank documentation (KYC, update bank mandates, other requests…)
  • Provide reporting and analysis on bank account activity (fees, interest, etc.)
  • Assists with cash forecasting on a monthly basis.
  • Strive for continued process improvement, utilizing technology solutions and professional development
  • Complete other ad hoc Treasury projects as needed
     

Skills & Competencies:

Knowledge of cash management, liquidity management, and banking products.

Proficiency in Microsoft Excel, Access, and other financial software applications.

Strong analytical and problem-solving skills.

Excellent organizational and attention-to-detail abilities.

Strong verbal and written communication skills.

Ability to manage multiple priorities and meet deadlines.

Ability to analyze and interpret financial and operational data.

Strong interpersonal skills and ability to work effectively with banks and internal stakeholders.

Qualifications:

  • Bachelor's Degree in Finance, Accounting, Business Administration, Economics, or a related field
  • Preferred Certified Treasury Professional (CTP) or equivalent treasury certification.
  • 2 - 3 years of relevant treasury, finance, or banking experience.. 
  • Preferred with 5 years of treasury-related experience / 2 years of experience using treasury workstations, banking platforms, or cash management systems / 1 year of experience supporting international treasury operations.

About the TeamAt Wesco, we build, connect, power and protect the world. As a leading provider of business-to-business distribution, logistics services and supply chain solutions, we create a world that you can depend on. ​

Our Company’s greatest asset is our people. Wesco is committed to fostering a workplace where every individual is respected, valued, and empowered to succeed. We promote a culture that is grounded in teamwork and respect. With a workforce of over 20,000 people worldwide, we embrace the unique perspectives each person brings. Through comprehensive benefits and active community engagement, we create an environment where every team member has the opportunity to thrive.  ​

Learn more about Working at Wesco here and apply online today!​

Founded in 1922 and headquartered in Pittsburgh, Wesco is a publicly traded (NYSE: WCC) FORTUNE 500® company.​

Wesco International, Inc., including its subsidiaries and affiliates (“Wesco”) provides equal employment opportunities to all employees and applicants for employment. Employment decisions are made without regard to race, religion, color, national or ethnic origin, sex, sexual orientation, gender identity or expression, age, disability, or other characteristics protected by law. US applicants only, we are an Equal Opportunity Employer.​

Los Angeles Unincorporated County Candidates Only: Qualified applicants with arrest or conviction records will be considered for employment in accordance with the Los Angeles County Fair Chance Ordinance and the California Fair Chance Act. 

This posting is for a current, active vacancy intended for immediate hire.

Similar Jobs

11 Days Ago
In-Office
Singapore, SGP
Entry level
Entry level
Retail • Industrial • Manufacturing
Supports treasury front-office activities including cash and FX management, cash-flow forecasting, treasury reporting, bank relationship management, trade finance operations, banking line setup, and treasury system transformation. The role assists with KYC onboarding, monitoring banking limits and facility utilization, improving processes, implementing treasury systems, and conducting UAT for new capabilities.
Top Skills: Foreign ExchangeLetter Of CreditTreasury Management SystemUser Acceptance Testing
12 Days Ago
In-Office or Remote
Singapore, SGP
Senior level
Senior level
Hospitality
Leads the enterprise treasury function, overseeing cash management, liquidity planning, banking relationships, payment operations, merchant services, treasury systems, fraud prevention, and financial controls. Develops treasury strategies, policies, forecasts, and executive reporting while optimizing banking structures, working capital, and payment technologies. Partners with Finance, Accounting, Payroll, Operations, and banking institutions on strategic initiatives, including implementations, acquisitions, and restructuring. Supervises and develops treasury staff and ensures regulatory, audit, and governance compliance.
Top Skills: Business Reporting ToolsErp SystemsExcelPayment PlatformsTreasury Management Systems
21 Days Ago
In-Office or Remote
Singapore, SGP
Senior level
Senior level
Information Technology
Manage global treasury operations for a fintech and cryptocurrency platform, including daily cash positioning, bank reconciliations, liquidity management, cash forecasting, bank relationships, disbursement monitoring, financial reporting, variance analysis, compliance, and management decision support. Maintain rolling cash forecasts and accurate treasury records while coordinating with accounting and international banking partners.
Top Skills: Accounting SystemsAi ToolsBlockchainCryptocurrencyFinancial ModelingIndex MatchMacrosMicrosoft AccessExcelPivot TablesPower QueryTreasury Management SystemsVlookupXlookup

What you need to know about the Singapore Tech Scene

The digital revolution has driven a constant demand for tech professionals across industries like software development, data analytics and cybersecurity. In Singapore, one of the largest cities in Southeast Asia, the demand for tech talent is so high that the government continues to invest millions into programs designed to develop a talent pipeline directly from universities while also scaling efforts in pre-employment training and mid-career upskilling to expand and elevate its workforce.

Sign up now Access later

Create Free Account

Please log in or sign up to report this job.

Create Free Account