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Top Treasury Jobs in Singapore

2 Days Ago
Singapore
13,356 Employees
Junior
13,356 Employees
Junior
Appliances • Manufacturing
The Treasury Analyst will support global cash and liquidity management, optimize cashflow forecasting processes, create meaningful reports, and collaborate with teams on compliance and process improvements. The role requires effective communication with stakeholders and contributions to treasury efficiency projects.
2 Days Ago
Singapore
5,360 Employees
Senior level
5,360 Employees
Senior level
Payments • Software
As a Treasury Specialist, you will implement and scale cash and liquidity management, manage APAC cash forecasting, collaborate with engineering on process improvements, analyze financial risks, ensure regulatory compliance, and work closely with global teams on risk management and bank account strategies.
7 Days Ago
Singapore
73 Employees
Mid level
73 Employees
Mid level
Blockchain
The Treasury Operations Manager will oversee liquidity management, capital deployment, and enhance banking relationships. Responsibilities include capital allocation tracking, liquidity forecasting, collateral management, reporting, and developing automation frameworks for capital management.
7 Days Ago
Singapore
500 Employees
Senior level
500 Employees
Senior level
Fintech
The Global Head of Treasury at Aspire is responsible for managing the treasury function, optimizing liquidity and financial risks, and leading cash flow forecasting and compliance efforts. The role requires collaboration across various departments and strong leadership skills to support the company's strategic objectives in the fintech industry.
9 Days Ago
Singapore
13,812 Employees
Mid level
13,812 Employees
Mid level
3D Printing • Chemical
The Treasury Specialist manages treasury operations across multiple entities and countries, analyzes bank balances and cash pooling, places hedge deals, assesses FX exposure, monitors exchange rates, manages loan drawdowns, and oversees cashflow forecasting and bank facility arrangements.
12 Days Ago
Singapore
Remote
125 Employees
Mid level
125 Employees
Mid level
eCommerce • Retail • Consulting
The Treasury Manager will oversee cash flow management, risk management, and treasury operations at Anka. Responsibilities include optimizing cash position, implementing investment opportunities, managing financial risks, maintaining internal controls, and providing analytical insights on cash flow performance and working capital.
17 Days Ago
Singapore
Remote
132 Employees
Senior level
132 Employees
Senior level
Fintech • Information Technology
The Tax & Treasury Manager will oversee tax compliance and treasury functions for global operations, ensuring regulatory compliance while optimizing cash flow. Responsibilities include managing tax filings, leading tax provision processes, treasury operations, risk management, strategic planning, cross-functional collaboration, and team development.
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