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Asst. Manager, Corporate Treasury

Asst. Manager, Corporate Treasury

Mewah GroupSingapore, Pedra Branca, Singapore
22 days ago
Job description

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Join Mewah Group – A Leading Name in the Global Agribusiness Industry

At Mewah Group , we are more than just a global integrated agribusiness. We are a trusted name in the edible oils and fats industry, delivering quality products across continents for over 70 years. Headquartered in Singapore with operations in Malaysia, Indonesia, and globally, our diversified portfolio spans manufacturing, supply chain, and distribution. We are proud to be listed on the Singapore Exchange and recognized as a company committed to sustainable practices, innovation, and talent development.

We believe that our people are our greatest asset. Join us and be part of a team where your work matters and your contributions help shape the future of food sustainability and financial excellence.

Assistant Manager – Corporate Treasury

Experience : 5–10 years of relevant experience

Your Impact :

As a key member of the Corporate Treasury team , you will play a pivotal role in strengthening our cash flow planning and liquidity management for subsidiaries across multiple countries. You’ll partner with cross-functional stakeholders, identify cost-saving opportunities, and drive treasury initiatives aligned with our business goals and risk appetite.

What You’ll Be Doing :

  • Supervise and optimize daily cashflow planning across group subsidiaries to minimize financing costs and idle funds.
  • Coordinate with local treasury teams in Malaysia, Indonesia, Singapore, and other regions to gather and analyze short- and long-term liquidity requirements .
  • Prepare actionable treasury dashboards, insights, and decks for senior management’s decision-making.
  • Lead or support process improvement and automation projects within the treasury function.
  • Ensure full compliance with internal controls , banking regulations, AML, and sanction-related requirements.
  • Manage and organize monthly Treasury meetings involving all regional stakeholders.
  • Build and maintain strong banking relationships , ensuring favorable terms and operational efficiency.
  • Support other treasury-related tasks and strategic initiatives as assigned.

What We’re Looking For :

  • A Degree in Finance, Economics, Banking, Accounting , or professional qualifications such as ACCA, CIMA .
  • 5–10 years of relevant experience in Corporate Treasury, especially in cashflow management across multiple subsidiaries .
  • Familiarity with working capital banking facilities , and basic understanding of facility documentation and regulatory compliance.
  • Strong analytical skills with proficiency in Excel, Pivot Tables, Power BI or similar tools.
  • Proactive, resourceful, and able to thrive in a fast-paced, cross-border working environment.
  • Comfortable working across multiple time zones , when needed.
  • A team-oriented mindset with excellent communication and interpersonal skills.
  • Why Join Us?

  • Be part of a globally recognized and trusted agribusiness group
  • Work in a dynamic, fast-paced, and collaborative environment
  • Continuous learning and professional development opportunities
  • A company committed to sustainability and ethical practices
  • Ready to Make an Impact?

    If you're a treasury professional seeking a new challenge in a high-growth, international organization, we’d love to hear from you.

    Seniority level

    Seniority level

    Mid-Senior level

    Employment type

    Employment type

    Full-time

    Job function

    Job function

    Accounting / Auditing

    Industries

    Agriculture, Construction, Mining Machinery Manufacturing

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