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Singapore Airlines
Job DescriptionThe successful candidate will join the Treasury department in SIA Finance Division. You will perform critical Treasury operations, including cash and risk management, corporate finance, accounting, reporting and other duties as assigned.
Key ResponsibilitiesPerform operational Treasury duties across the areas of cash and risk management, and corporate financePerform month-end closing activities, including preparing and posting accounting entries, schedules and job runs in SAPPerform electronic banking administration duties, including ensuring proper system access management for both local and overseas offices and troubleshooting with stakeholders to resolve issuesEnsure proper accounting and custodianship for receipts of funds/cashPrepare reports for control and reporting purposesParticipate in user acceptance testing activities for system enhancementsPerform secretarial and administrative support duties as assignedSupport the Treasury team for more complex accounting, reporting and operational duties as assigned RequirementsPossess a diploma in Accounting, Business Administration or FinancePrevious work experience in a Treasury or Finance-related role will be advantageousKnowledge of SAP and related Treasury system within SAP will be advantageousWell-organised, meticulous, independent and able to perform well under pressureGood interpersonal skills, able to work well in a team, and able to communicate effectively with internal and external stakeholdersSelf-starter and result-oriented with strong numerical, analytical and problem-solving skillsProficient in Microsoft OfficeWe thank all candidates for your interest in Singapore Airlines, and regret that only shortlisted candidates will be notified.
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