Treasury Analyst / Treasury Associate
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Job Description & Requirements SF Group - Singapore Regional Treasury Center SF Group is a leading integrated logistics and supply chain service provider in China and across Asia, with businesses spanning express logistics, supply chain solutions, aviation logistics, international services and technology-enabled platforms. The Group's service network covers major markets across Asia, Europe and the Americas. The Singapore Treasury Center serves as SF Group's overseas treasury platform, providing funding support to the Group's overseas subsidiaries and supporting the Group's internationalisation strategy and global business expansion. Job Responsibilities Assist the treasury team in daily cash management operations, including cash forecasting, cash position monitoring, and coordination with local finance teams. Support liquidity management efforts, including optimising cash allocation, assisting with deposit and financing activities, and ensuring adequate liquidity for daily working capital needs. Maintain and update treasury-related documents, records, and reports, ensuring compliance with internal policies, group standards, and local regulatory requirements in Singapore. Collaborate with internal teams (corporate treasury, finance, tax, legal) and external partners (e.g. banks) to support smooth treasury operations. Participate in treasury process optimisation and system enhancement initiatives, applying digital tools and analytics where applicable. Support ad-hoc treasury projects, including bank account management, intercompany transactions, and audit-related preparations. Job Requirements Bachelor's or equivalent in Finance, Accounting, Economics, or a related field. Open to candidates with minimum 2 years of relevant experience. Candidates must be eligible to work in Singapore. Strong analytical skills, detail-oriented, and comfortable working with financial data and treasury-related tasks. Proficient in English (both written and spoken); Mandarin is a plus as the role involves coordination with HQ and regional stakeholders, including reviewing documents and handling communications that may be in Mandarin. Familiar with Microsoft Office Suite (especially Excel for financial analysis); knowledge of treasury systems or financial certifications (e.g. ACCA, CFA) is a bonus. Proactive, self-motivated, and able to work both independently and collaboratively in a team environment. Strong learning agility, with an interest in treasury management and the ability to adapt to a fast-paced work environment.
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