Group treasury, commodity trading firm
Responsibility
- You will be responsible for managing and overseeing all financial management, planning and investments.
- Oversees all activities regarding the cash management and forex of the Group.
- Oversees activities within investment portfolio management, credit management and risk management.
- Plan and develop an in-house bank operation to optimize the liquidity sources within the various operating units of the Group.
- Manage corporate debt and maintain cost effective financing for corporate projects.
- Ensure all company policies and procedures are complied with.
- Ensure compliance with regulators of the different jurisdictions that the Group operates in.
- Work closely with the legal department, finance and accounting teams to ensure that the Company's financial goals are met.
- Handling banking relationships
Requirements:
- Working in a large bank with at least 7 years+ relevant experience
- Experience in Treasury including cash management and money market
- Experience in the commodity space with assets
- Possess trading experience in forex
- CFA is an advantage
If you would like to be considered for this opportunity, please forward a copy of your full CV to Lester.qin@hays.com.sg
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