Treasury Director: Cash Flow & Banking Strategy

Safc • eastern manila district, metro manila • Posted July 13, 2026

About the Role

A financial services company located in Metro Manila seeks an experienced Treasury Manager responsible for overseeing cash management activities and banking transactions. You will lead day-to-day treasury operations, manage cash flow, and oversee budgeting and expense monitoring. The ideal candidate will be a CPA with at least five years of experience and strong analytical skills. This role offers opportunities for process improvement and team leadership in a dynamic environment.
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