The Senior Treasury Analyst/Treasury Manager is responsible for cash management activities in selected Asia-Pacific countries. For assigned countries, he/she will maintain and periodically review all cash management structures and banking arrangements to achieve cash visibility, cash concentration, cash re-deployment and cash investment in the most efficient and cost-effective manner. He/she will also be involved in the improvement/automation of treasury processes of the business units. The position is based out of Singapore and has a direct reporting line to the Treasury Director, Asia Pacific.
The Senior Treasury Analyst / Treasury Manager is responsible for:
CEI No.: R