The Senior Treasury and Procurement Lead is to manage all aspect aspects of the indirect tax and procurement lifecycle, including:
1, Managing the company’s cash position
2, Payment processes
3, Procurement governance across the organization
4, Cash outflow management
5, Strong financial controls over spending
6, Effective coordination with internal stakeholders, BPO providers, and external partners
This is a hands-on role in a lean finance team, combining treasury operations, accounts payable oversight, and procurement process ownership.
DUTIES AND RESPONSIBILITIES
Treasury Management
Manage short-term liquidity and cash positioning across bank accounts
Maintain and update rolling cash flow forecasts
Monitor cash inflows/outflows and identify potential liquidity risks
Execute and oversee fund transfers, FX transactions, and intercompany movements
Maintain relationships with banking partners and payment providers
Accounts Payable Oversight (via BPO)
Oversee end-to-end AP process managed by BPO provider
Review and approve payment runs in line with internal controls
Ensure accuracy, completeness, and timeliness of invoice processing
Handle escalations, exceptions, and urgent payments
Monitor aging and ensure no operational bottlenecks
Procurement & Spend Control
Design and enforce procurement policies and approval workflows
Ensure proper authorization and budget alignment for all expenditures
Partner with business teams (marketing, operations, production) on spend planning
Support vendor selection and commercial terms negotiation where relevant
Drive cost discipline without compromising business agility
Payment Governance & Controls
Own payment approval matrix and segregation of duties
Ensure compliance with internal controls and audit requirements
Prevent fraud, duplicate payments, and unauthorized spending
Maintain clear audit trail for all payments
Vendor Management
Maintain vendor master data integrity
Coordinate onboarding of new suppliers (including compliance checks)
Manage payment terms and support optimization of working capital
Act as key finance contact for vendor-related matters
Cross-Functional Collaboration
Work closely with FP&A on cash planning and budget alignment
Partner with Financial Control on closing, accruals, and audit requirements
Coordinate with Finance team / BPO on transactional execution
Liaise with Tax/Finance teams where payments have tax implications (e.g. VAT, withholding tax)
System & Data Management
Operate and optimize procurement systems (SAP MM, etc.)
Conduct spend analysis and reporting
Visualize procurement data and manage dashboards
Implement and manage e-procurement platforms
YOUR EXPERIENCE
Minimal 10+ years of experience of the entire lifecycle of treasury and procurement within an international setting
Retail or FMCG industry background preferred
Strong understanding of cash flow management and working capital
Solid knowledge of AP processes and financial controls
High attention to detail with a risk-aware mindset
Strong communicative skills (both orally and in writing)
Commercially minded, proactive, action-oriented
Strong analytical and problem-solving skills
Moves fast on negotiations and decisions without losing accuracy
Holds full ownership over cost and risk, committed to delivering results
Questions industry norms and existing contracts, always seeking better terms and structures
Interpersonal savvy, relates well to different types of people with different backgrounds
Ability to set priorities (sense of urgency vs prioritization)
Advanced skills in Excel/Microsoft Office (pre)
SAP Experience (pre)
We regret to inform applicants that only shortlisted candidates will be notified. Thank you for your understanding