Job Overview
This role plays a key part in managing the company’s cash flow, liquidity, and financial risk, ensuring the effective deployment of funds across all operations. Responsibilities include overseeing cash management, optimizing banking relationships when required, and supporting financial forecasting and reporting activities.
The ideal candidate will possess a strong understanding of treasury operations, a sharp attention to detail, and the ability to collaborate seamlessly with fellow treasury team members. Together, you will safeguard financial stability and drive efficiency across the Company.
Job Responsibilities
Job Requirements
Please write in with a full resume, present and expected salary, contact telephone number(s) and any other relevant information to:
Email: hr@petrochina.com.sg
We regret to inform that only shortlisted candidates will be notified.
Personal Data Protection
In submitting your personal data and/or resume, you shall be deemed to consent to us collecting, using and disclosing your personal data for the purpose of assessing your job application. Information collected may also be disclosed to the PetroChina Group of Companies (which includes PetroChina International (Singapore) Pte. Ltd., Singapore Petroleum Company Limited) for this purpose.