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Balance Sheet Management Analyst, Intermediate – Treasury & Liquidity

CITIBANK N.A.

Singapore

On-site

SGD 60,000 - 80,000

Full time

Today
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Job summary

A leading global bank in Singapore is seeking an Officer, Balance Sheet Management Intermediate Analyst to support liquidity-related reporting activities and ensure compliance with financial regulations. Candidates should have 3-5 years of experience, strong organizational skills, and the ability to analyze data. This role offers the opportunity to work within a dynamic team and contribute to essential financial operations in a reputable banking institution.

Qualifications

  • 3-5 years of experience with MAS reporting is desirable.
  • Proven ability to work independently and within a team.
  • Experience in data reconciliations with large datasets.

Responsibilities

  • Support liquidity-related reporting covering regulatory and internal requirements.
  • Produce daily, monthly, and quarterly liquidity reports.
  • Assist with analysis and reviews of the Bank's liquidity metrics.

Skills

Data analysis
Organizational skills
Communication skills
Risk identification
Multitasking

Education

Bachelor / University degree
Job description
A leading global bank in Singapore is seeking an Officer, Balance Sheet Management Intermediate Analyst to support liquidity-related reporting activities and ensure compliance with financial regulations. Candidates should have 3-5 years of experience, strong organizational skills, and the ability to analyze data. This role offers the opportunity to work within a dynamic team and contribute to essential financial operations in a reputable banking institution.
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