jobs in SJ Group

SJ Group Hiring! Full Time Treasury Intern in - Ricebowl

Singapore

Share
Save

Working Location

  • Singapore

Job Description

Responsibilities

Key Responsibilities

Management Reporting & Insights

  • Support the preparation of treasury‑related analysis, reports and dashboards.
  • Help storyboard working capital and cash flow data into clear insights for senior management.
  • Contribute to improving the quality and clarity of management‑level treasury reporting.

Liquidity & Cash Flow Analysis

  • Analyse liquidity positions and cash flow forecasts across entities to support funding adequacy and visibility.
  • Review cash flow submissions prepared by Finance teams and assess key drivers, trends, and cash movement patterns.
  • Assist in identifying anomalous cash movements and support follow‑up analysis.

Process Digitisation & Improvement

  • Support initiatives to digitise and enhance cash flow forecasting and monitoring processes.
  • Assist in improving treasury data templates and analytical tools used.
  • Help document reporting logic, assumptions, and methodologies used in treasury reporting.

Collaboration & Treasury Support

  • Provide analytical and reporting support to the Group Treasury team on an ad hoc basis as required.
  • Maintain datasets and supporting documentation used for treasury analysis.


Learning Opportunities/ What We Offer

  • Hands‑on exposure to treasury analytics, liquidity management, and cash flow forecasting in a corporate group environment.
  • Experience translating accounting and cash flow data into insights for senior management.
  • Involvement in process digitisation and reporting improvement initiatives within Treasury.
  • Mentorship and guidance from experienced treasury professionals.


Requirements

  • Currently pursuing an undergraduate degree in Accounting, Finance, Business, or a related discipline.
  • Strong analytical mindset with attention to detail and the ability to identify trends, variances, and anomalies in financial data.
  • Sufficient grounding in accounting fundamentals, with a good understanding of the link between P&L, balance sheet, and cash flow statement
  • Proficient in Excel; familiarity with data analytics or visualisation tools (e.g. Power BI) is an advantage.
  • Able to communicate clearly and work collaboratively with multiple stakeholders.


Important Information

Never provide your bank or credit card details when applying for jobs. Do not transfer any money or complete unrelated online surveys. If you see something suspicious, Report this Job ad.

Learn More