Treasury Analyst: Global Liquidity & FX Strategy

GSF Digital Bank

Kuala Lumpur

On-site

MYR 100,000 - 156,000

Full time

38 hours ago
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Job summary

GSF Digital Bank in Kuala Lumpur, Malaysia is seeking a Treasury Analyst to manage liquidity, FX exposure, and nostro/vostro positions across global banks. You will run daily cash forecasting, optimise short-term funding, and support quantum-treasury initiatives.

The role requires a finance or accounting degree, CFA Level I or above preferred, strong Excel and Power BI modelling skills, and hands-on experience with money markets and FX. Minimum 3 years in treasury or related finance roles.

Qualifications

  • Bachelor's degree in Finance, Economics, or Accounting.
  • CFA Level I or above (preferred).
  • Strong Excel / Power BI modelling skills.
  • Working knowledge of money markets and FX.

Responsibilities

  • Daily cash position and liquidity forecasting across MYR/USD/SGD.
  • Manage nostro/vostro reconciliation with correspondent banks.
  • Execute FX hedges and money-market placements within mandate.
  • Produce weekly treasury MIS for the COO and Board.
  • Support implementation of quantum-treasury optimisation models.

Skills

Excel modelling
Power BI modelling
Money markets
FX knowledge

Education

Bachelor's degree in Finance/Economics/Accounting
CFA Level I or above

Tools

Excel
Power BI

Job description

GSF Digital Bank in Kuala Lumpur, Malaysia is seeking a Treasury Analyst to manage liquidity, FX exposure, and nostro/vostro positions across global banks. You will run daily cash forecasting, optimise short-term funding, and support quantum-treasury initiatives.

The role requires a finance or accounting degree, CFA Level I or above preferred, strong Excel and Power BI modelling skills, and hands-on experience with money markets and FX. Minimum 3 years in treasury or related finance roles.

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