Treasury Manager

Salling Search Pte. Ltd
Full-time Singapore, Singapore Corporate Finance & Strategic Planning
Posted:
March 03, 2026
Location:
Singapore, Singapore, Singapore

Job Description

The Treasury, Cash & Capital Planning Manager is responsible for end-to-end treasury management across the Group, combining hands‑on cash operations, execution of treasury systems and forward‑looking liquidity planning, financial modelling and primary bank engagement.

Role Purpose

The role spans daily cash visibility and payment execution, Kyriba treasury system ownership, and medium‑to‑long‑term capital planning, ensuring disciplined liquidity management, robust controls and a single, credible financial narrative with banks and lenders. The role partners closely with the CFO on funding strategy, refinancing, covenant management and treasury governance, while remaining directly accountable for operational treasury execution.

Key Responsibilities

1. Treasury Operations & Cash Management

  • Own daily cash balance monitoring across all Group bank accounts.
  • Execute and oversee payments through Kyriba in line with approv...

Apply for this Job

Submit your application for the Treasury Manager position at Salling Search Pte. Ltd.

Apply Now Save for Later

Job Overview

Job Type: Full-time
Location: Singapore, Singapore
Posted: March 03, 2026
Deadline: April 12, 2026