Assistant / Senior Manager, Group Treasury at Sembcorp Industries
Central Singapore, Southeast, Singapore -
Full Time


Start Date

Immediate

Expiry Date

03 Jul, 25

Salary

0.0

Posted On

04 Apr, 25

Experience

7 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Microsoft Office, Bloomberg, Project Finance, Analytical Skills, Management System, Communication Skills, Power Bi, Business Acumen, Investment Banking

Industry

Financial Services

Description

Singapore, Central, Singapore
Department
Group Corporate Finance & Treasury
Job posted on
Apr 02, 2025
Employment type
Permanent

QUALIFICATIONS, SKILLS & EXPERIENCE

  • Excellent degree qualifications with at least 7 to 12 years of relevant work experience and proven experience from Project Finance, Transaction Advisory or Corporate Investment Banking.
  • Candidate who has experience in leading a team for at least 3 years will be considered for a senior position
  • Ability to develop project priorities, take initiatives and lead team to achieve outcome in a timely manner and with attention to details
  • Proven problem-solving ability by analysing potential outcomes and options and be ready to support and propose alternative approaches and innovations
  • Strong business acumen and analytical skills to identify issues, roadblocks, connect the dots and with attention to details.
  • Ability to work independently in a fast-paced environment under pressure and tight
  • A team player with ability to work collaboratively in cross-functional taskforces.
  • Ability to do financial modelling is a plus
  • Strong written and verbal communication skills with the ability to engage senior stakeholders
  • Proficient in Microsoft office, Bloomberg, FXall, 360T, Power BI and Treasury management system
  • Ability to work independently in a fast-paced environment under pressure and tight timeline.

At Sembcorp, our shared behaviours underpin our code of conduct and all the work that we do to drive energy transition.

  • Institution-first Mindset – Put the interest of the Group ahead of individual interests.
  • Collaboration – Deliver through collaborating across markets, businesses and functions.
  • Accountability – Hold team and self accountable to deliver on our commitments.
Responsibilities

PURPOSE & SCOPE

A leading and growth driven infrastructure company embarking on a major journey focusing on being an integrated energy provider, industrial and urban cities provider. We are focus on driving energy transition to be a leading provider of sustainable solutions to create value for our stakeholders and communities. We believe we have a part to play in contributing to cities that thrive on efficient us of innovative energy solutions, water resources and smart waste management.

ROLES & RESPONSIBILITIES

  • Responsible for all treasury activities for your countries including (UK, Middle East, India) such as corporate and project financing including loan agreement structuring/negotiation/ review (Conventional, Green and Sustainability Linked), ISDA negotiations and banking relationship management
  • Responsible to plan activities at HQ and group subsidiary levels by working with the local teams for activities such as:
  • Capital structure including identifying appropriate target leverage ratios.
  • Proactively identify opportunities to reduce funding and hedging costs.
  • Proactively identify opportunities to increase access to funding.
  • Review new investment opportunities and provide Treasury advisory for these new opportunities in a timely manner.
  • Responsible for quarterly dashboard for countries that you are overseeing
  • Risk Management
  • Responsible for delivering quarterly Treasury related risk assessment for the Group in a timely manner
  • Others
  • Any other duties as assigned
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