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Fresenius Medical Care

Treasury Manager

Posted An Hour Ago
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In-Office or Remote
Hiring Remotely in Singapore, SGP
Senior level
In-Office or Remote
Hiring Remotely in Singapore, SGP
Senior level
Leads a global treasury operations team responsible for bank systems, cash positioning, liquidity management, funding, FX transactions, payments, in-house banking, netting, treasury accounting, reporting, data governance, and audit controls. Partners with finance, accounting, FP&A, IT, banks, auditors, and global treasury teams while ensuring efficient transaction processing and strong internal controls.
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The Corporate Finance & Global Treasury at Fresenius Medical Care plays a key role in driving sustainable growth. Comprising four teams - Capital Markets, Capital Advisory, Treasury Centers, and Treasury Operations - we are dedicated to empowering our global operations through effective risk management and proactive financial decision-making. Join us and be part of shaping the future of our global treasury operations at Fresenius Medical Care. 

 

As a Treasury Operations Manager, you will play a pivotal role in driving essential activities within the department. You will lead a dynamic team in Manila responsible for executing strategic treasury transactions, streamlining processes for enhanced efficiency, minimizing transaction costs, and implementing cutting-edge controls. Moreover, you will have the opportunity to cultivate strong partnerships across internal teams (Corporate Finance & Global Treasury, FP&A, Accounting, and IT) and external stakeholders (auditors, banks, IT service providers). 

 

Responsibilities: 

  • Lead a team of Treasury professionals and ensure excellent onboarding and development of the team. 
  • Drive the centralization of bank system usage and act as a global bank administrator for locally used banks portals. 
  • Drive the support for the Master Data team for questions around bank master data and establish data governance for globally used bank data. 
  • Be owner of the local cash disposition on entity level and ensure that liquidity is available for daily operations. 
  • Execute needed Treasury transfers to avoid interest costs due to overdrafts. 
  • Align with Global Treasury team in Germany the needed funding of the cash pools. 
  • Be responsible for the monthly cash position reporting for all entities in scope of the GBS Team. 
  • Suggest appropriate funding and investment actions in alignment with global Capital Markets team. 
  • Execute FX transactions for the operational payments in foreign currencies in alignment with global Capital Markets team. 
  • Support the Treasury Accounting activities for North America and Germany. 
  • Be the single point of contact for regional relationship manager of global bank partners. 
  • Be responsible for the end-to-end processing of transactions for Inhouse Bank and global netting engine. 
  • Perform payment service for all markets globally including tax, customs & supplier payments. 
  • Support the German and North American Treasury team regarding internal controls and internal / external audits. 

 

Qualifications: 

  • Bachelor’s degree in finance, accounting, or a related field (e.g. bank experience in a global bank) 
  • Has 7+ years of solid relevant experience in treasury, banking, or treasury consultancy, with a focus on daily treasury operations (payments & cash)  
  • Has 3-4 years of experience in a leadership role  
  • Experience in using SAP (incl. TRM module) and/or S4 Hana. 
  • Strong problem-solving skills, with the ability to make data-driven decisions in time. 
  • Possesses effective communication skills and is a driver of strong relationships, enabling seamless collaboration with diverse teams and external partners. 
  • Detail-oriented and highly organized, with the ability to manage multiple tasks and meet deadlines in a fast-paced environment. 
  • Passionate about Treasury and its related processes  
  • A Master’s degree and certification (i.e. Certified Treasury Professional) is preferred but not required 

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