Treasury Supervisor - Bank & Investor Relations

Cepat Kredit Financing Inc.

₺18.2-21.8K[Aylık]
Tesis içi - Pasig5-10 Yrs ExpÜniversite mezunuTam zamanlı
Paylaşmak

İş tanımı

Avantajlar

  • Çalışan Takdiri ve Ödüllendirme

    Performans bonusu, Teşvikler

  • Devletin Zorunlu Sağladığı Faydalar

    13. Ay Ödemesi, Çalışan Kredisi, Pag-Ibig Fonu, Ücretli tatil, Philhealth, SSS/GSIS

  • Sigorta Sağlık ve Wellness

    HMO

  • Profesyönel geliştirme

    Mesleki Eğitim

Devamını oku

Key Responsibilities: 

Banking Operations: 

  • Manage relationships with banks, financial institutions, and other external stakeholders, ensuring effective banking services, including cash management, liquidity, and treasury operations. 
  • Negotiate banking terms and fees, and manage the company's bank accounts. 
  • Review and approve bank reconciliations related to banl loans and placements, including identifying discrepancies and working to resolve them. 
  • Oversee daily cash positioning, monitor bank account balances, and ensure sufficient liquidity to meet operational needs. 
  • Review and manage bank account structures, ensuring compliance with company policies and procedures. 


Debt & Financing Management

  • Oversee the company's debt portfolio, including monitoring loan agreements, compliance with covenants, and timely repayment schedules. 
  • Assist in securing new loans, credit lines, or debt financing, coordinating with banks and other financial institutions. 
  • Prepare and maintain loan documentation and reports for internal and external stakeholders. 
  • Monitor and track interest rates, terms, and repayment schedules of loans and other financing instruments. 
  • Support the treasury manager in raising funds, preparing documentation for debt issuance, and maintaining investor relations. 
  • Collaborate with the finance and accounting teams to forecast cash flow and debt servicing requirements. 


Investor Relations: 

  • Develop and maintain strong relationships with investors, and other stakeholders. 
  • Coordinate the preparation and distribution of financial reports, and other investor communication materials. 
  • Assist in the preparation of board presentations, investor meetings, and conference calls. 
  • Monitor market conditions, competitor activities, and investor sentiment to provide insights for corporate strategy and investor communication. 


Investment Strategy and Portfolio Management 

  • Oversee and manage the placement of time deposits, ensuring optimal allocation of company funds to achieve the best returns with minimal risk. 
  • Monitor and evaluate the market conditions, interest rates, and financial institutions to identify the most suitable time deposit opportunities. 
  • Work with financial institutions to negotiate terms, interest rates, and maturity periods for time deposits to maximize the company’s cash return. 
  • Ensure that time deposit placements align with the company’s liquidity needs and overall treasury strategy. 


Reporting & Compliance

  • Prepare regular treasury reports, including bank and placement monitoring reports, and loan schedule of payments. 
  • Ensure compliance with all regulatory requirements related to banking, loans, and investor relations. 
  • Monitor and report on treasury performance, banking transactions, and debt service obligations. 
  • Provide regular updates to senior management on cash, loan status, and investor relations. 


Team Management & Development

  • Supervise and mentor a team of junior treasury staff, providing training and guidance. 
  • Ensure effective collaboration between the treasury team and other departments, such as accounting, loans, and operations. 
  • Review and approve team members’ work to ensure accuracy and compliance. 


Treasury Systems & Process Improvement

  • Lead the implementation and optimization of treasury management systems and banking platforms. 
  • Review and streamline treasury processes to improve efficiency and reduce operational risks. 

 

Qualifications & Skills: 

  • Education: Bachelor’s degree in Finance, Accounting, Economics, or a related field. A professional certification such as CFA or CPA is a plus. 
  • Experience: 5+ years of experience in treasury, finance, or accounting, with at least 2 years in a supervisory role. 
  • Experience in the financing, banking, or financial services industry is preferred. 


Skills

  • Strong knowledge of banking products, loan structures, and investor relations best practices. 
  • Familiarity with financial markets, capital structure, and debt financing options. 
  • Proficiency in financial software, spreadsheets, and treasury management systems. 
  • Excellent communication, negotiation, and interpersonal skills. 
  • Ability to analyze financial data and provide actionable insights to management. 
  • Strong attention to detail and organizational skills. 
  • Ability to work well under pressure and manage multiple priorities.
Preview

Annielou Escalona

HR OfficerCepat Kredit Financing Inc.

Bugün 0 Kez Yanıtla

Çalışma konumu

Room 2402, Jollibee Plaza, F. Ortigas Jr. Rd, Ortigas Center, Pasig, Metro Manila, Philippines

Yayınlandı 05 January 2026

Rapor

Bossjob Güvenlik Hatırlatması

Eğer pozisyon yurt dışında çalışmanızı gerektiriyorsa lütfen dikkatli olun ve dolandırıcılığa karşı dikkatli olun.

İş arayışınız sırasında aşağıdaki davranışlara sahip bir işverenle karşılaşırsanız, lütfen hemen bildirin

  • kimliğinizi saklıyor,
  • bir garanti vermenizi veya mülkünüzü tahsil etmenizi gerektiriyorsa,
  • sizi yatırım yapmaya veya fon toplamaya zorluyorsa,
  • Yasadışı menfaatler topluyor,
  • veya diğer yasa dışı durumlar.
Tips
×

Some of our features may not work properly on your device.

If you are using a mobile device, please use a desktop browser to access our website.

Or use our app: Download App