$5,000 - 8,000 monthly
Position Summary:
We are seeking a detail-oriented Treasury Analyst to support the company’s treasury operations, cash management, liquidity planning, and banking activities. The successful candidate will be responsible for cash forecasting, monitoring daily cash positions, supporting funding activities, and ensuring compliance with treasury policies and controls.
This role requires stronganalytical skills, attention to detail, and the ability to work collaborativelywith finance, accounting, tax, and banking partners.
Cash& Liquidity Management
Banking Operations
TreasuryOperations and Reporting
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