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Senior Officer - Treasury Operations (banking Industry)

Good Job Creations (Singapore) Pte Ltd

Singapore

On-site

SGD 40,000 - 80,000

Full time

Yesterday
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Job summary

An established industry player is seeking a dedicated Treasury professional to manage investments and ensure liquidity for their Singapore branch. This role involves recording transactions, conducting KYC checks, and preparing financial reports to support risk management. The ideal candidate will have a solid background in banking, particularly in asset and liability management, and a good understanding of financial markets. Join a forward-thinking organization where your expertise will contribute to streamlining treasury operations and enhancing compliance. This is an exciting opportunity to make a significant impact in a dynamic environment.

Qualifications

  • Min 2 years of experience in banking/financial institution sector.
  • Strong understanding of money markets and bond products.

Responsibilities

  • Record treasury-related transactions accurately and verify details.
  • Prepare and analyze internal reports for decision-making.
  • Ensure compliance with internal controls and regulations.

Skills

KYC checks
Liquidity management
Financial markets knowledge
Asset and Liability Management (ALM)

Education

Relevant certification (FMRP)

Job description

[Job ID: 779648]

The Treasury Group (TG) is responsible for managing the Singapore branch’s investment portfolio, overseeing Asset and Liability Management (ALM), and ensuring robust Liquidity Management to support the bank’s core business activities.

Responsibilities:
  • Accurately record money market, FX, investment, and other treasury-related transactions in internal systems. Verify trade details with counterparties to ensure precision and completeness.
  • Conduct thorough KYC checks and periodic reviews of counterparties. Liaise with external parties to obtain required documentation, ensuring full compliance with regulatory requirements.
  • Prepare and analyze a range of internal reports, including cash positions, market updates, financial summaries, and other performance metrics to support decision-making and risk management.
  • Collaborate with cross-functional departments to resolve operational discrepancies, streamline treasury workflows, and support system/process improvements.
  • Ensure compliance with internal controls and regulatory guidelines. Assist with audit reviews and provide timely responses to audit queries.
  • Any other ad-hoc assignment as required
Requirements:
  • Min 2 years of relevant experience in the banking/financial institution sector, specifically in ALM/Liquidity management
  • Good understanding of financial markets, particularly in the areas of money markets and bond products (e.g., Interbank cash trades, Repo and FX)
  • FMRP certification would be advantageous
We regret that only shortlisted candidates will be notified. However, rest assured that all applications will be updated to our resume bank for future opportunities.

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EA Personnel Name: Chan E Cheng Simone
EA Personnel Registration Number: R25127866
EA License No.: 07C5771
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