Treasury Head recruitment

Operating in more than 4 centuries of industry expertise, this market leader in the commodities industry has won many accolades. Their proven record is a hallmark of excellence that their customers trust.

Reporting to the CFO, you will formulate effective cash management policies across the group and to develop effective financial control, financing model and review of foreign exchange/interest rate profile and recommend appropriate hedging strategies to minimise risk for the Group. You will direct and develop appropriate treasury operations, strategies and initiatives in financing and fund-raising projects for the Group. You will spearhead the strategies to ensure financial risk exposures are appropriately managed and that are in support of corporate objectives and aligned with the Group, under direction of the Senior Management team, to enable the company to achieve competitive and comparative advantage through treasury activities.

Qualified and interested candidates should possess at least 10 years of relevant experience with at least 5 years in a managerial role in a large organization. A background in money and debt capital market, loan documentation and financial analysis/modelling is crucial to excel in this position. In addition, you need to possess a proven track record in leadership skills and well connected within the financial services sector. You would need to possess excellent communication skills and a strong team player who is willing to travel.

Please send your updated CV to fandy.harahap@hays.com.sg