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Assistant Manager, Finance (Treasury)

$ 6,000 - $ 7,500 / month

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ABOUT SEMBCORP INDUSTRIES

Sembcorp Industries (Sembcorp) is a leading energy and urban solutions provider, led by its purpose to drive energy transition. Headquartered in Singapore, Sembcorp delivers sustainable solutions to support energy transition and urban development by leveraging it sector expertise and global track record.

For more information, please visit

Key Roles & Responsibilities

  • Oversee and execute treasury activities including cash forecasting, FX transactions execution, fund transfer and other ad-hoc treasury related transactions.
  • Assist to maintain banking signing mandate, including bank accounts maintenance, internet-banking setups, and consolidation of banking facilities, charges, and utilization.
  • Assist in managing banking relationships, including opening / closing of bank accounts, loan and service fees negotiation, managing KYC documents, negotiation of documentation for financing or any queries from banks from time to time.
  • Assist in preparing monthly reports and any other reporting as required by management from time to time.
  • Support Internal and external loan requirements.
  • Engage with cross-functional teams and senior management to ensure alignment on financial goals and strategies.

Qualification, Skills, and Experience

  • At least 5 years of Treasury experience.
  • Diploma / Degree in Accountancy or Finance
  • A Professional Accounting Qualification e.g. ACCA or equivalent
  • Proficiency in financial systems and software (e.g., ERP, EPM, BI tools), setting up a new technology experience is an add-on.
  • Strong interpersonal and communication skills, with the ability to collaborate effectively with stakeholders at all levels.

ABOUT SEMBCORP INDUSTRIES

Sembcorp Industries (Sembcorp) is a leading energy and urban solutions provider, led by its purpose to drive energy transition. Headquartered in Singapore, Sembcorp delivers sustainable solutions to support energy transition and urban development by leveraging it sector expertise and global track record.

For more information, please visit

Key Roles & Responsibilities

  • Oversee and execute treasury activities including cash forecasting, FX transactions execution, fund transfer and other ad-hoc treasury related transactions.
  • Assist to maintain banking signing mandate, including bank accounts maintenance, internet-banking setups, and consolidation of banking facilities, charges, and utilization.
  • Assist in managing banking relationships, including opening / closing of bank accounts, loan and service fees negotiation, managing KYC documents, negotiation of documentation for financing or any queries from banks from time to time.
  • Assist in preparing monthly reports and any other reporting as required by management from time to time.
  • Support Internal and external loan requirements.
  • Engage with cross-functional teams and senior management to ensure alignment on financial goals and strategies.

Qualification, Skills, and Experience

  • At least 5 years of Treasury experience.
  • Diploma / Degree in Accountancy or Finance
  • A Professional Accounting Qualification e.g. ACCA or equivalent
  • Proficiency in financial systems and software (e.g., ERP, EPM, BI tools), setting up a new technology experience is an add-on.
  • Strong interpersonal and communication skills, with the ability to collaborate effectively with stakeholders at all levels.