Treasury Manager – Commodities Trading

Treasury Manager – Commodities Trading
- Team lead role
- Regional coverage
- Full suite treasury including trade finance
Overview
This is a multi-national commodities’ trading firm seeking to hire a Treasury Manager to join its regional team based in Singapore. This is a strategic role focused on managing liquidity, financial risk, and banking relationships across Asia. The position offers a dynamic environment where treasury operations are closely integrated with commercial and finance functions, providing exposure to regional activities and leadership responsibilities.
Role
Reporting to the Regional Treasurer, the Treasury Manager will oversee daily cash flow operations and ensure optimal use of banking facilities. The role involves supporting trade finance activities, managing counterparty and country risks, and negotiating competitive banking terms. He/ She will also be responsible for executing FX and interest rate hedging settlements, handling documentary credits and guarantees, and contributing to system enhancements aligned with group standards. The position includes supervising a small team and supporting treasury operations for regional subsidiaries, with a strong emphasis on automation and reporting.
Requirements
The successful candidate will be degree qualified in finance, accounting, banking or related, with minimum 10 years’ post-qualification experience in regional treasury and commodities, with the last 3 years in a team lead capacity. You should be commercially astute, hands-on, and possess strong analytical and communication skills. Proficiency in treasury management systems and a collaborative mindset are essential, along with proven leadership and people management capabilities.
To apply
To apply, please submit your resume to Ailing Huang at ailing@kerryconsulting.com, quoting the job title and reference number AH34848. We regret to inform that only successful shortlisted candidates will be notified.
Licence No: 16S8060
Registration no: R1104181
![]()
