
Assistant/Manager, Treasury
Mapletree
The Role
Overview
Manage financing, liquidity, risk, and banking relationships for Mapletree.
Key Responsibilities
- hedging management
- treasury administration
- payments processing
- forecast reporting
- debt financing
- regulatory coordination
Tasks
-Assist in managing FX and interest rate hedging strategies. -Contribute to treasury system administration and process improvement initiatives -Oversee treasury operations including payments, covenant monitoring, and compliance. -Coordinate with banks and internal teams on regulatory and KYC requirements. -Prepare monthly forecasts and quarterly reporting packs for management and board. -Support execution of debt financing transactions and loan documentation.
Requirements
- 7 years
- corporate treasury
- derivatives
- finance degree
- analytical
- team player
What You Bring
-At least 7 years of relevant experience in corporate treasury, corporate finance, or fund management, preferably in the real estate or REIT sector. -Strong understanding of debt capital markets, derivatives, and treasury operations. -Degree in Accountancy, Finance, Economics, Banking, Business Administration, or equivalent from a recognised university. -Strong analytical and communication skills, proactive mindset, and a collaborative team player
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The Company
About Mapletree
-Blends developer, investor, capital-manager and property-manager roles to turn land into award-winning projects. -Iconic projects include VivoCity, Mapletree Business City and precinct-scale rejuvenations in Singapore and overseas. -Anchors strategy in core growth areas—logistics, data centres, student housing and offices—while branching into new markets. -Balances local roots with global ambition, creating mixed-use urban hubs and massive industrial parks.
Sector Specialisms
Logistics
Student Accommodation
Data Centre
Office
Mixed-Use Developments
Built-to-Suit
Precinct Rejuvenation
