Treasury Supervisor

Treasury Supervisor

Job Summary:

Leads daily cash management operations, ensuring accurate cash positions, timely settlements, and reliable reconciliations while maintaining liquidity and strong financial controls.

Job Responsibilities

  • Manage daily cash positions, cash flow forecasting, and liquidity planning to support operational needs.
  • Monitor cash movements and investigate variances, discrepancies, and potential funding gaps.
  • Identify and escalate liquidity risks with supporting analysis and recommended actions.
  • Analyze short-term cash flow trends to support investment and capital allocation decisions.
  • Prepare audit documentation and ensure compliance with internal controls and requirements.

Job Specifications

  • Bachelor’s degree in Finance, Accounting, or a related field.
  • 5–8 years of experience in financial operations, settlements, or treasury.
  • Experience with digital payment systems, InstaPay/PESONet operations, or bank integrations is an advantage.
  • Strong analytical, reconciliation, and problem-solving skills.
  • Strong communication and stakeholder coordination skills.
  • Willing to work on-site at our Marikina office five (5) days a week.

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