Assistant Manager, Treasury
Listed on 2026-03-07
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Finance & Banking
Financial Manager
About the Company
Far East Organization, together with its Hong Kong-based sister company Sino Group, is one of Asia's largest real estate groups. The group has publicly-listed as well as private development and investment companies under its umbrella and operates in Singapore, Malaysia, Hong Kong, China, Taiwan, Australia, Japan, and Hawaii.
Far East Organization operates as a Christian enterprise which seeks to be a community of love and a workplace of grace doing business guided by the eternal truths of Jesus Christ.
Far East Organization is the largest private property developer in Singapore. Since its establishment in 1960 by the late Mr Ng Teng Fong, Far East Organization has been contributing to the transformation of Singapore's urban landscape, having built over 780 developments including 55,000 private homes.
The Organization is the winner of 13 FIABCI World Prix d'Excellence awards, the highest honour in international real estate. The Organization was conferred the Best Organisation for Championing Human Capital by Singapore Human Resources Institute (SHRI) in 2021. Far East Organization ranks among the top 50 Singapore's Best Employers 2022 by The Straits Times - Statista.
BenefitsOur health and well‑being benefits provide physical, mental and spiritual support to our people and their families, including annual leave, performance bonus, medical and insurance coverage, birthday leave, birthday benefits, care leave, flexible benefits, staff rebates at F&B outlets, and special rates at our hotels locally and overseas.
Responsibilities- Assist in the monitoring and management of the Group's cash position, liquidity planning and deployment of surplus funds.
- Manage the Group's bank accounts.
- Collaborate with Tax Department on the repatriation of excess cash from overseas investments.
- Prepare regular cash flow forecasts and reports for Management.
- Support the Team Lead and Head of Treasury in the capital management for new projects and investments.
- Develop, review and update Treasury policies, processes and controls relating to cash and capital management.
- Support in administering, troubleshooting and implementing enhancements for the Group's Treasury Management System.
- Implement approved hedging plans to minimise the foreign currency exposure.
- Keep abreast of the forex market movements and perform research/analysis on economic and market trends/outlook.
- Degree in Accountancy, Finance or equivalent qualification.
- Minimum 5 years of relevant experience in cash and capital management.
- Detail‑oriented, independent and analytical with good problem‑solving skills.
- Strong communication, organisational and time‑management skills.
- Proficient in Microsoft Office.
- Prior experience with Treasury Management System is required.
- Knowledge of Bloomberg will be advantageous.
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