Job Description - Regional Treasury Manager - Medical Device MNC
Regional treasury ownership with end-to-end responsibility
Exposure to transformation, infrastructure investment, and regional expansion
About Our Client
Our client is a well-established multinational corporation (MNC) operating across the medical device and renal care ecosystem, delivering critical, life-sustaining solutions globally. The organisation has a strong focus on dialysis and renal-related technologies, alongside a broader portfolio of medical devices, consumables, and injection systems, with selective involvement in medical centre operations reflecting a long-term, patient-centric approach to healthcare delivery.As part of its continued growth and transformation, the business is establishing a new regional headquarters in Singapore, supporting regional expansion and investments in healthcare infrastructure. This role sits within the regional HQ set-up and is a key contributor to building robust financial discipline, liquidity management, and treasury governance across a complex, multi-country organisation.
Job Description
Oversee regional cash management, liquidity planning, and working capital optimisation
Monitor daily cash positions and ensure sufficient funding across regional entities
Support the setup and ongoing management of cash pooling and intercompany funding structures
Manage fund transfers, FX transactions, and payment activities for Singapore and regional entities
Identify, monitor, and manage foreign exchange exposures, including execution of hedging activities
Track internal and external debt obligations and support capital planning initiatives
Build and maintain strong banking relationships, negotiating facilities and service terms where required
Support monthly financial closing and reporting to regional management and Japan HQ
Maintain treasury records and transactions within SAP, ensuring accuracy and compliance
Support tax, audit, and transfer pricing documentation with external advisors
Develop, review, and strengthen treasury policies, controls, and governance frameworks
Participate in regional finance projects and transformation initiatives as required
The Successful Applicant
Degree in Accountancy or Finance
Professional qualifications such as CPA, CA, ACCA, or CFA preferred
7+ years of progressive experience in regional treasury operations within a multinational, product-based environment
Hands-on experience in cash management, liquidity planning, and FX
Ability to operate independently while partnering closely with regional finance teams
Strong analytical, problem-solving, and stakeholder management skills
Experience working in matrix organisations across multiple countries
Exposure to medical devices, healthcare, or other complex product-based environments preferred
SAP B1 experience advantageous, with willingness to be hands-on
What's on Offer
Regional treasury leadership role based in Singapore
Close partnership with CFO and senior finance leadership
Exposure to regional expansion, infrastructure investment, and transformation initiatives
Stable multinational environment with long-term growth focus
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