Global Finance Talent Program 2026 - Lenovo Singapore

Lenovo

Central, USonsitePosted Aug 1, 2026
Posting intelligenceActively listed

Skills

excel

About the role

General Information

Req #

100017477

Career area:

Accounting/Finance

Country/Region:

Singapore

State:

Central Singapore

City:

SINGAPORE

Date:

Saturday, August 1, 2026

Additional Locations:

Singapore

Why Work at Lenovo

We are Lenovo. We do what we say. We own what we do. We WOW our customers.

Lenovo is a US$83 billion revenue global technology powerhouse, ranked #153 in the Fortune Global 500, and serving millions of customers every day in 180 markets. Focused on a bold vision to deliver Smarter Technology for All, Lenovo has built on its success as the world’s largest PC company with a full-stack portfolio of AI-enabled, AI-ready, and AI-optimized devices (PCs, workstations, smartphones, tablets), infrastructure (server, storage, edge, high performance computing and software defined infrastructure), software, solutions, and services. Lenovo’s continued investment in world-changing innovation is building a more equitable, trustworthy, and smarter future for everyone, everywhere. Lenovo is listed on the Hong Kong stock exchange under Lenovo Group Limited (HKSE: 992) (ADR: LNVGY).

To find out more visit www.lenovo.com and read about the latest news via our StoryHub.

Description and Requirements

Global Finance Talent Program (GFTP) – Treasury Analyst (Cash Planning)

Location: Singapore

Program Duration: 3 Years

Rotations: Two 12-month rotations within Lenovo Global Finance

About the Program

Lenovo’s Global Finance Talent Program (GFTP) is a fast-track development program for high-potential Finance & Accounting graduates. Through two rotations - including two within Finance Team - you will gain hands-on experience, develop strong financial skills, and contribute to Lenovo’s global operations in a dynamic Fortune 500 environment.

Key Responsibilities – First Treasury Rotation

About Cash Planning

Treasury oversees cash planning, liquidity management, working capital, finance cost analysis, and system/process transformation. The role requires strong financial knowledge, attention to detail, and proactive stakeholder engagement.

Cash Flow & Liquidity Management

Prepare short- and long-term cash flow forecasts.

Monitor global cash balances and analyze variances.

Support liquidity planning to ensure optimal cash levels.

Treasury Reporting & Compliance

Produce regular cash and liquidity reports for senior management.

Ensure adherence to Treasury policies and regulatory requirements.

Support internal and external audit requests.

Process Improvement & Strategy

Recommend improvements to cash planning processes and tools.

Participate in automation and system enhancement initiatives.

Stay updated on market trends and treasury technologies.

Cross-Functional Collaboration

Work with Accounting, Finance, Supply Chain and Operations teams.

Provide insights on liquidity impacts to business decisions.

Learning & Development

Structured training in finance fundamentals and Lenovo business operations.

Mentorship, leadership exposure, and global project assignments.

Rotational learning across diverse business units.

Qualifications

Required:

Bachelor’s/Master’s in Finance, Accounting, Economics, or related field.

1+ year experience (including internships) in finance, accounting, treasury, or analytics.

Ability to operate in a fast-paced global environment.

Preferred:

Strong analytical, communication, and problem-solving skills.

Advanced Excel and financial systems proficiency.

Ability to work independently and collaborate across teams.

Additional Locations:

Singapore

Singapore

Questions about this role

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