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Accounting 🏢 Full Time ⭐️ Verified

VP, Treasury & Cash Operations, Finance Department

GIC Private Limited
Singapore
Estimated Salary
SGD 250.000 – SGD 350.000
Posted Date
4 Mei 2026
Application Deadline
4 Mei 2027

Job Description

GIC Private Limited, one of the world's leading sovereign wealth funds, is seeking a high-caliber VP of Treasury & Cash Operations to join our Finance Department. In this critical leadership role, you will be at the heart of our financial stewardship, overseeing complex cash management workflows, liquidity forecasting, and treasury risk mitigation strategies for a global investment portfolio.

The successful candidate will lead a team dedicated to ensuring operational excellence across all cash operations, maintaining robust internal controls, and fostering strong relationships with global banking partners. You will play a pivotal role in optimizing our treasury infrastructure, driving digital transformation in payment systems, and supporting the long-term financial stability of the GIC group. If you are a strategic thinker with a deep understanding of treasury management in a large-scale institutional environment, we invite you to help shape the future of our financial operations.

Responsibilities

  • Lead and oversee daily cash management operations, liquidity positioning, and funding strategies for the GIC group.
  • Develop and implement advanced treasury management policies and frameworks to mitigate financial and operational risks.
  • Manage relationships with global custodian banks and financial institutions to ensure optimal service delivery and cost efficiency.
  • Drive the automation of treasury workflows and implement innovative fintech solutions for global cash visibility.
  • Provide strategic oversight on capital allocation, ensuring compliance with internal financial policies and regulatory standards.
  • Collaborate with cross-functional teams, including Risk Management and Investment Operations, to streamline reporting processes.
  • Mentor and lead high-performing teams to achieve operational excellence and support the department's long-term financial stewardship goals.

Qualifications

  • Bachelor’s degree in Finance, Accounting, Economics, or a related quantitative field; MBA or professional certification (CFA, CTP, or CA) is highly preferred.
  • 10+ years of progressive experience in corporate treasury, cash management, or financial operations, ideally within a multinational organization or sovereign wealth fund.
  • In-depth knowledge of global payment systems, currency markets, and liquidity management best practices.
  • Proven track record in driving large-scale financial process improvements and digital transformation initiatives.
  • Exceptional leadership skills with the ability to manage senior stakeholders and influence strategic decision-making.
  • Strong analytical mindset with proficiency in treasury management systems (TMS) and data analytics tools.
  • Excellent communication skills, with the ability to articulate complex financial information to diverse audiences.

Required Skills

Treasury Management Cash Operations Liquidity Planning Financial Risk Management Corporate Finance Stakeholder Management Strategic Planning Financial Reporting Banking Relationships TMS Implementation

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