Strategic Treasury & Cash Flow Manager

HRTX • makati, metro manila • Posted June 23, 2026

Position Overview

A financial services company in the Philippines is seeking a Treasury Manager to oversee cash flow management, liquidity, and financial risks. The role requires developing and implementing strategies to enhance cash management and funding while maintaining banking relationships. The ideal candidate will have 5-7 years of experience in treasury or corporate finance, strong analytical skills, and proficiency in Treasury Management Systems. This position offers an opportunity to make a significant impact on the company's financial health.
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