Intern, Treasury Front Office

Deutsche Börse AG

Singapore

Hybrid

SGD 19,000 - 23,000

Part time

14 days+
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Job summary

Deutsche Börse AG—Clearstream Banking in APAC—offers an internship in the Treasury Front Office (APAC) in Singapore. You will learn cash management and investments within a financial markets infrastructure custodian bank and engage with treasury platforms.

You will support daily liquidity tasks, participate in meetings with stakeholders, and contribute to automation and data-analytics initiatives. Strong English, analytical skills and coding in VBA/Power BI/Python are desirable.

Qualifications

  • Pursuing a degree in economics/finance or related field.
  • Proficiency in written and spoken English with focus on clear and concise written and verbal communication.
  • Strong understanding of basic investment instruments (Stocks, Bonds, ETFs, etc).
  • Advance analytical and numerical competency.
  • Effective interpersonal skills to develop and maintain relationships with internal and external stakeholders.
  • Coding and data analytics proficiency (VBA, PowerBi, Python).
  • Project Management skills are a plus.

Responsibilities

  • Learning the principles of cash management and investments in a FMI (Financial Markets Infrastructure) Custodian Bank.
  • Engaging with platforms linked to Treasury activities (proprietary and third party).
  • Organizing, documenting, and participating to meetings with internal and external stakeholders.
  • Preparing and executing daily, monthly Liquidity Management tasks.
  • Support Automation and Data Analytics initiatives in Treasury Front Office.
  • Support the team in any ad hoc tasks where possible.

Education

Pursuing a degree in economics/finance or related field

Tools

VBA
PowerBi
Python

Job description

Division/section

Clearstream Banking, Treasury Front Office (APAC)

Fields of Activity

In Treasury Front Office we are responsible for the Cash Management and Investments of the Bank. We operate in line with the Group Investment and Liquidity management policies. We regularly update our processes in line with the relevant regulations. We engage with Global Banks as our key partners and providers.

Tasks/Responsibilities
  • Learning the principles of cash management and investments in a FMI (Financial Markets Infrastructure) Custodian Bank.
  • Engaging with platforms linked to Treasury activities (proprietary and third party).
  • Organizing, documenting, and participating to meetings with internal and external stakeholders.
  • Preparing and executing daily, monthly Liquidity Management tasks.
  • Support Automation and Data Analytics initiatives in Treasury Front Office.
  • Support the team in any ad hoc tasks where possible.
Required Skills/Qualifications
  • Pursuing a degree in economics/finance or related field.
  • Proficiency in written and spoken English with focus on clear and concise written and verbal communication.
  • Strong understanding of basic investment instruments (Stocks, Bonds, ETFs, etc).
  • Advance analytical and numerical competency.
  • Effective interpersonal skills to develop and maintain relationships with internal and external stakeholders.
  • Coding and data analytics proficiency (VBA, PowerBi, Python).
  • Project Management skills are a plus.
Internship Period:

Dec 2026 - June 2027

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