Senior Associate, Treasury & Finance

NETS • singapore, singapore • Posted June 05, 2026

Position Overview

Key Responsibilities Treasure & Cash Management
  • Manage daily cash flow operations, ensuring adequate funding and liquidity across the group.
  • Manage banking facilities, float requirements, fixed deposits, treasury bills, and cash vouchers.
  • Administer the end-to-end bank guarantee process, including coordination between internal parties and banks, issuance, amendments, renewals, cancellations and updating the list of guarantees.
  • Monitor and optimize cash positions to support operational and strategic needs, including initiating fund transfers and standing instructions.
  • Conduct periodic reviews for float balance, cash vouchers and cheque count.
  • Perform monthly bank reconciliations and promptly investigate and resolve reconciling items.
  • Support month‑end and year‑end closing activities such as journal entries and other items as per checklist.
  • Perform monthly balance sheet reconciliations and ensu...