What are the responsibilities and job description for the Treasury Manager position at Jones Lang LaSalle IP, Inc.?
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Our people at JLL and JLL Technologies are shaping the future of real estate for a better world by combining world class services, advisory and technology for our clients. We are committed to hiring the best, most talented people and empowering them to thrive, grow meaningful careers and to find a place where they belong. Whether you've got deep experience in commercial real estate, skilled trades or technology, or you're looking to apply your relevant experience to a new industry, join our team as we help shape a brighter way forward.
Job Description for Treasury Professional - Singapore (P3 Level)
Company Overview : Jones Lang LaSalle (JLL) is a leading global professional services and investment management company specializing in real estate. Our comprehensive range of services encompasses the leasing, acquisition, disposition, and management of commercial properties on behalf of clients worldwide. We are committed to delivering exceptional value to our clients and fostering a collaborative and dynamic work environment.
Position Overview :
As a Treasury Professional at JLL, you will play a critical role in managing the company's cash flow, financial risk management, and ensuring efficient liquidity specifically in the Southeast Asia market (Singapore, Malaysia, Philippines, Indonesia, Thailand, Vietnam) and Korea. Working closely with senior management and cross-functional teams, you will contribute to the development and implementation of treasury strategies, policies, and procedures. You will work in a fast-paced environment, leveraging your analytical skills and financial acumen to optimize cash management and strengthen the company's financial position in these markets.
Responsibilities :
Cash Flow Management :
- Ensure optimal utilization of funds, including funding and repatriation to and from Southeast Asia and Korea, or other countries as assigned.
- Work with business, local finance and shared service centre teams to develop accurate cash flow forecasts.
- Manage cross border intercompany loan position and repayment.
- Oversee daily treasury operations in Australia & New Zealand, including cash position intercompany loan reconciliation, executing Treasury related wire transfers, and FX where required.
Financial Risk Management :
Banking Relationship Management :
Treasury Operations :
Reporting and Analysis :
Qualifications :
Why JLL?
Location : On-site - Singapore
If this job description resonates with you, we encourage you to apply, even if you don't meet all the requirements. We're interested in getting to know you and what you bring to the table!
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