Group Treasury Manager - Real Estate and Investment Firm

Location
Singapore
Salary
Competitive
Posted
24 Mar 2023
Closes
21 Apr 2023
Ref
JN -032023-5992538
Contact
Rachel Hee
Job role
Treasury
Contract type
Permanent
Hours
Full time
Experience level
Manager

Our client is looking for an experienced Group Treasury Senior Manager to join their growing team. The incumbent will be in charge of cash planning, funding, borrowing and loan administration while advising on hedging strategies for foreign exchange and interest rates, while creating the cash flow budgets and forecasts for the organization.

Client Details

Our client is a leading real estate development, investment, and management company headquartered in Singapore. Founded in 2000, the company has since expanded to have a global presence, with operations in Asia, Europe, and the Americas.

Their portfolio includes a wide range of real estate assets, including commercial, residential, industrial, logistics, and data center properties. The company also manages a number of private and public real estate investment trusts (REITs), which are traded on the Singapore Exchange.

With a focus on sustainable and innovative real estate solutions, the company has earned a reputation for delivering high-quality properties that meet the needs of its tenants and investors. The company's commitment to sustainability is reflected in its numerous green building certifications and its efforts to reduce its carbon footprint and promote environmentally responsible practices across its operations.

Due to strong business growth over the past couple of years, they are now looking for new talent to join their expanding team.

Description

  • Oversee borrowing, funding, cash planning, and loans administration
  • Evaluate financing offers, negotiate terms, and sign banking agreements
  • Advise on hedging strategies for foreign exchange and interest rates
  • Assist with investment and divestment activities, including funding and repatriation of capital/profit
  • Create cash flow budgets and forecasts
  • Establish and maintain relationships with banks
  • Generate comprehensive treasury updates and presentations for senior management
  • Identify and implement process improvements to enhance treasury efficiency

Profile

  • Possess a degree in Accountancy/Banking/Business Administration/Economics/Finance or equivalent
  • Have at least 8-10 years of relevant experience in corporate treasury
  • Knowledgeable in money and debt capital markets, loan/ISDA documentation, and financial analysis/modeling
  • Demonstrate excellent communication skills
  • Proficient in SAP and MS Office
  • Be an outstanding team collaborator

Job Offer

  • Great office culture and flexible working environments
  • Established leadership and training programs
  • A company that prides it self on career progression

To apply online please click the 'Apply' button below. For a confidential discussion about this role please contact Rachel Hee at +65 6541 9960.

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