Treasury Manager (MNC)

Editorial summary

The company, a multinational manufacturing firm, is seeking a Treasury Manager to oversee daily cash flow management, treasury operations, and funding strategies. The role involves supporting overseas subsidiaries with fund management and financing, as well as coordinating cash forecasting and month-end reporting. The position offers a salary of 8,200 and is based in a centrally accessible location. Candidates should possess relevant experience in treasury functions and financial management within a multinational environment.

This summary is AI-generated and may contain inaccuracies. Please refer to the full job description below.

Job description

[This job id 25586 first appeared in Job-Q.com on 15 Aug 2026]

Our client is a MNC in Manufacturing.  Due to business needs, they are now recruiting a Treasury Manager to be part of their Team for ongoing transformation projects. They are located in the Central - easily accessible.

Responsibilities for Treasury Manager:

Cash & Treasury Operations

  • Manage daily cash flow, loan drawdowns, FX hedging, fund transfers, and settlement

  • Oversee cash management and borrowing strategies to optimize working capital.

  • Forecast cash collections/disbursements and coordinate month-end treasury reporting.

  • Support overseas subsidiaries on fund management, financing, and cash flow analysis.

  • Liaise with banks and intercompany credit facilities.

Capital Strategy & Advisory

  • Assess cost of capital and maintain an optimal financing mix.

  • Monitor macroeconomic trends and provide financial/market outlooks.

  • Recommend banking products and financial solutions for efficiency and growth.

  • Support M&A and restructuring from a treasury perspective.

Risk & Hedging Management

  • Implement FX and interest rate hedging strategies.

  • Ensure interest rate structures support profitability and compliance.

  • Identify risks and perform ad-hoc analyses to mitigate exposures.

Policy, Governance & Process Improvement

  • Develop and communicate global cash management policies.

  • Benchmark best practices and identify strategic funding needs.

  • Drive process and system improvements for efficiency and accuracy.

Banking Relations & Administration

  • Evaluate bank services, fees, and recommend savings or added services.

  • Manage bank accounts: openings, closures, signatories, and records.


Job Requirements:

  • Bachelor's degree in Finance and Accounting, Business Management, Business Administration, or in relevant fields

  • Relevant Treasury experience (regional or global role)

  • Proven experience in intercompany financing and loan management, M&A activities, capital management, policy & governance, hedging

Interested candidates who wish to apply for the advertised position, please click APPLY NOW or email an updated copy of your resume/cv.

We regret that only shortlisted candidate will be notified.

Email Address: email address

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Job Summary

  • Published on: 15 Aug, 2026
  • Category: Accounting
  • Vacancy: 1
  • Job type: Permanent
  • Salary: 8200
  • Location: On site
  • Job Nature: Permanent

Company Details