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Treasury Analyst

MAIN DUTIES AND RESPONSIBILITIES:

  • Handle daily cash management function
  • Prepare bank instruction for all payment
  • Prepare cash report and report on end of the day cash position
  • Responsible for FX Settlement
  • Daily checking and reporting of bank balances
  • Assist to prepare and execute settlement of corporate loan / bonds payments, interest / coupon payments, Cross Currency Swap Settlement, FX Settlement and Investment Accounts Settlement
  • Liaise with Banks or other Financial Institutions for account opening, account closing, account changes
  • Liaise with Banks or other Financial Institutions to manage KYC requirements
  • Liaise with relevant internal Departments for KYC related queries
  • Assist in any other ad-hoc treasury related matters

REQUIREMENTS

  • Diploma in Banking/Finance/Accountancy
  • Min 1 year of related working experience
  • Attention to detail, Organized, thorough and meticulous
  • Able to work within tight timeliness and ability to work in a team

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