Company Description
Carousell Group is the leading multi-category platform for secondhand in Greater Southeast Asia on a mission to make secondhand the first choice. Founded in August 2012 in Singapore, the Group has a leading presence in seven markets under the brands Carousell, Carousell Media Group, Cho Tot, Laku6, LuxLexicon, Mudah.my, OneShift, REFASH and Revo Financial, serving tens of millions of monthly active users. Carousell is backed by leading investors including Telenor Group, Rakuten Ventures, Naver, STIC Investments, 500 Global and Peak XV Partners (formerly known as Sequoia Capital India).
As a team of passionate individuals working together to solve meaningful problems, there is so much more for you to discover in a career with Carousell. Our culture is made up of hiring, developing, and promoting people who embody our values of HEART, which is an acronym for Humility, Empathy, Accountability, Relentlessly resourceful and Teamwork. Together as an organisation, we make magic happen.
Job Description
- This role can be a remote option.
Carousell is looking for a Group Treasury Manager to join its corporate controllership team.As a Group Treasury Manager, you will be collaborating with the finance teams across the group. The successful candidate will bring to the team a solid background in group treasury management in APAC. This role would report to the Group Head of Tax and Treasury based in Bangalore.
Responsibilities:
- Develop a comprehensive rolling cash flow forecasting system in collaboration with cross functional teams
- Partner with Strategic Finance team to foster strong relationships with external banking partners
- Provide operational support for all activities within the group treasury function - manage group bank accounts, liaise with bankers and ensure regulatory compliance
- Device and implement corporate treasury policies for the group, SOPs and ensure adherence.
- Automation of treasury processes
- Manage inter-co loans/ funding in collaboration with tax team
- Support M&A activities and post-integration of the treasury function
- Facilitate and support group internal and external audits for treasury activities
- Assist on other projects
Qualifications
- Bachelor's degree or equivalent in Business, Finance or any related discipline with CA or CPA
- 1-2 years of relevant experience in treasury function.
- Regional experience in cash, bank accounts, and intercompany loan management and foreign exchange
- Comfortable to work on both routine and ad-hoc requirements.
- Excellent interpersonal, written and verbal communication skills.
- Highly motivated and well-organized individual, able to work well under pressure
Additional Information
Please note that Carousell will not ask for payment of any fees nor recruit on social media platforms. Legitimate information regarding career opportunities with Carousell can always be found on our official careers site at careers.carousell.com. If you have encountered any scams or are a victim of such scams, please promptly inform your local police.
By proceeding with your application, you are adhering to our PDPA policies. In case you are interested to know more, read about our Candidates Personal Data Privacy Statement.
By proceeding with your application
, you are adhering to our PDPA policies. In case you are interested to know more, read about our Candidates Personal Data Privacy Statement.