SENIOR EXECUTIVE, GROUP TREASURY
S P Setia
About the role
To manage the group's cash flow, liquidity, and funding needs to support smooth business operations and financial decision-making.
Key responsibilities
- Monitor and manage daily cash flow and liquidity across group entities.
- Liaise with banks on banking facilities, account matters, trade facilities, and treasury transactions.
- Forecast short and long-term cash requirements for operational and project needs.
- Optimize working capital and ensure sufficient funds for ongoing commitments.
- Initiate, process, and monitor payments to ensure timely and accurate processing of all payments.
- Ensure accurate recording and reconciliation of cash activities.
- Prepare treasury related reports, schedules, and management information.
- Collaborate with finance, investor relations, and project teams on funding and investment matters.
- Assist in improving treasury processes, controls, and operational efficiency.
About you
- Must possess a Diploma or Degree in Finance, Accounting, or a related field.
- Minimum 3 years of working experience in treasury field.
- Proficient in Microsoft Office (Word, Excel, PowerPoint).
- Good analytical, presentation and report writing skills.
- Good attention to detail, organized and able to work towards tight deadlines.
- Multitasker, team player, positive attitude.
- Work Location: Setia Alam
Skills
- Analytical
- Attention to detail
- Excel/Numbers/Sheets
- Microsoft powerpoint
- Presentation
- Treasury


