Senior Treasury Manager: Cash Flow & FX Strategy
Sisal
Singapore
About this role
Sisal seeks a Treasury professional in Singapore to manage cash, execute FX, FD, and other treasury trades, and ensure adherence to policies. You will coordinate between finance, legal, and operating units, maintain banking facilities, and support audits. The role requires 5 years of experience and strong analytical and communication skills. The position involves hands-on treasury operations, governance, and reporting, with opportunities to optimize working capital and intercompany financing J-…
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