Job title: Manager, Treasury Operations
Job type: Permanent
Emp type: Full-time
Job published: 01-10-2026
Job ID: 38535
Contact name: Josephine Low
Contact email: josephine.low@tri-cap.com.sg

Job Description

Manager, Treasury Operations Digital Infrastructure Platform | Singapore

Our client is a leading digital infrastructure platform with a growing portfolio of assets across multiple markets. The organisation is looking to appoint a Manager, Treasury Operations to support the platform's treasury activities, with particular focus on capital markets, funding and liquidity management.


Key Responsibilities
Support the execution and ongoing management of the Group's capital markets and financing activities, including debt capital markets, bank facilities and other funding arrangements.
Coordinate treasury operations associated with debt issuance, refinancing, drawdowns, repayments and other financing transactions.
Work closely with Capital Markets, Finance, Investment, Legal and external advisors to support financing and refinancing initiatives.
Manage day-to-day liquidity across multiple entities, including cash positioning, funding requirements and intercompany movements.
Prepare and maintain short- and medium-term cash flow and liquidity forecasts to support funding and capital allocation decisions.
Monitor debt portfolios, including interest payments, maturities, covenants, hedging arrangements and other financing obligations.
Support interest rate and foreign exchange hedging activities, including transaction execution, documentation and ongoing monitoring.
Coordinate with banks, lenders, investment banks, rating agencies, trustees and other financial institutions on treasury and capital markets matters.
Prepare treasury and financing analysis, management reports and materials for senior management.
Maintain accurate records of financing documentation, debt schedules, banking arrangements and treasury transactions.
Ensure treasury activities are executed in accordance with internal policies, controls, financing documentation and regulatory requirements.
Identify opportunities to improve treasury processes, liquidity management and banking infrastructure.
Support ad-hoc capital markets, financing and strategic treasury projects as the platform continues to scale.


Requirements
Degree in Finance, Accounting, Economics or a related discipline.
8–12 years of relevant experience in treasury / capital markets or structured finance.
Strong exposure to debt financing, capital markets transactions and treasury operations.
Experience working with banks, lenders and other financial institutions, ideally in a corporate, infrastructure, real estate or investment environment.
Good understanding of debt instruments, financing structures, interest rates, FX and hedging.
Experience supporting refinancing, debt issuance or other capital raising transactions will be advantageous.
Strong financial modelling, analytical and Excel skills.
Strong attention to detail, commercial awareness and ability to operate effectively in a fast-paced, transaction-oriented environment.