The Group Treasury Manager will support in defining and executing the Group's treasury strategy, aligned with overall financial objectives. The role will serve as the central authority on global cash, liquidity, funding structures, and financial risk management, with a specific focus on international operations and cross-border treasury activities.
Treasury Risk Management
Liquidity & Investment Management
Funding & Capital Structure
Governance & Compliance
Working Capital & Cash Flow Management
Stakeholder Engagement
Leadership & Reporting
Registered CA(SA).
5 - 10 years' relevant treasury, corporate finance, or financial management experience.
Proven experience managing liquidity, funding, financial risk, and treasury operations in a complex business environment.
Strong understanding of international treasury practices, banking structures, and financial markets.
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