The Cash and Banking Administrator ensures the accuracy, integrity, and efficiency of the group’s cashflows and foreign exchange management. This role involves managing the accounts payable function, minimising exposure to foreign exchange fees, maintaining payment reconciliations, and optimising working capital efficiency.
Please note:
Workplace:
Hours:
Responsibilities:
Invoice Processing & Management
Payment Processing
Cash Flow & Forecasting
Month-End Close Support
Process Improvement
Risk Management
Collaboration & Problem Resolution
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