- Join renowned and established medical devices company
- Cash Management and FX
- Partner and advise senior stakeholders within the business
- Cash management activities which includes cash positioning, cash flow forecasting, variance analysis, funding etc.
- Keeping an eye out on the current FX market, monitoring economic activity, market trends and outlook – any potential FX, interest rate risks etc.
- FX management
- Preparing treasury reports for management review
- Managing banking relationships
BeathChapman Pte Ltd
Licence no. 16S8112
Reg No. 1113627