Planning Manager, Global Treasury (Japanese-speaking)ID:36887

10,000 SGD ~ 16,000 SGD西部6日 ago

概述

  • 薪资

    10,000 SGD ~ 16,000 SGD

  • 产业类别

    Manufacturing(Chemicals/Materials), Manufacturing(Pharmaceutical/Medical Equipment)

  • 工作内容

    Our client is a Japanese FMCG company that provides high-value-added products and services in various areas. They are looking for a Planning Manager, Global Treasury Planning Group.

    【Responsibilities】
    - Optimize surplus fund consolidation into the Global Treasury Centre (GTC), considering tax and regulatory factors.
    - Develop strategies to maximize interest income and manage intra-group financing, liquidity, and external borrowing through effective deposit and fund management policies.
    - Conduct regular analysis of group-wide surplus deposit balances and develop strategic policies to maximize interest income through term deposits and short term financial instruments.
    - Lead the design and implementation of a Treasury Management System (TMS) to ensure real-time visibility into cash balances, flows, borrowing status, and FX positions.
    - Define system requirements, evaluate vendors, and assess effectiveness.
    - Develop an integrated financial data framework and improve cash flow forecasting models to enhance forecast accuracy.
    - Analyze the current decentralized funding structure across group entities and assess capital needs to design an integrated funding scheme under the GTC to optimize funding efficiency and reduce costs.
    - Lead the redesign of the Global Credit Facility (GCF) by shifting the borrowing entity to GTC and reviewing contracts, funding routes, and guarantee schemes to reduce commitment fees.
    - Select the optimal location for cash pooling based on liquidity, tax efficiency, and operational needs.
    - Design and implement a global cash pooling system to manage cash flows, currency requirements, and regulatory compliance across key locations.
    - Lead the transition of intra-group transactions to re-invoicing through the GTC to centralize foreign exchange risk.
    - Assess current FX operations and develop strategies to shift from external to internal FX settlements, reducing bank fees.
    - Identify and manage FX exposures and design a centralized hedging strategy to mitigate group-wide currency risks.
    - Establish a framework with local Finance & Accounting teams to ensure seamless execution of treasury operations in line with group policies.
    - Collaborate closely with Planning Managers across key regions, monitor treasury KPIs, and take corrective actions when necessary.
    - Provide strategic guidance and support to the GTC operations team in funding, investment, FX management, and re-invoicing activities.
    - Lead efforts to secure and maintain the Singapore Financial Treasury Centre (FTC) incentive, including research, application planning, and post-incentive compliance.
    - Maximize tax benefits by designing and implementing profit centralization strategies, such as re-invoicing, cash pooling, and intra-group lending.
    - Develop and implement global treasury policies to ensure consistent financial governance across all locations.
    - Establish compliance frameworks for regulatory requirements (OFAC, AML, KYC), and design controls for cash management, FX transactions, and intra-group loans.
    - Standardize approval processes and conduct regular compliance reviews.

资格

  • 应征条件

    【Requirements & Preferences】

    (Must)
    - Bachelor's Degree in Accounting, Finance, or equivalent
    - Minimum 8 years of experience in treasury and finance within a global corporation, including Cash pooling
    - Proficient in English and Japanese (minimum JLPT N2) to liaise effectively with English and Japanese-speaking counterparts
    - Proficient in the Treasury Management system

    (Advantageous)
    - Possess professional qualifications such as ACCA, CFA, CA, CPA
    - Experience in implementing and managing financial systems such as TMS or any other ERP
    - Project management experience leading global treasury initiatives from planning through execution
    - Experience managing cross-border projects involving multiple overseas entities
    - Experience in FX risk management, including hedging strategies, re-invoicing, trade financing, and currency position control
    - Practical experience in international taxation, transfer pricing, and utilization of tax incentive programs
    - Excellent communication and interpersonal skills to engage effectively with business units, finance teams, tax authorities, external consultants, and banks
    - Practical experience in international taxation, transfer pricing, and utilization of tax incentive programs

  • 英文

    -

  • 其他语言

    -

附加信息