Deputy Group Treasurer
Seatrium Pte. Ltd.
Singapore
About this role
Responsibilities Oversee daily cash positioning activities including managing daily liquidity, cash position reconciliation and bank reporting. Enhance and manage near‑term cash flow forecasting process. Manage cash management functions including cash flow forecasting and analysis, preparation of the daily cash report, investments. Manage all domestic and global cash management banking relationships, including negotiating terms and fees. Manage all foreign exchange and interest rate hedging tra…
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