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Senior Treasurer: Global Liquidity, Risk & Growth

Maybank

Singapore

On-site

SGD 90,000 - 120,000

Full time

14 days ago

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Job summary

A major banking institution in Singapore seeks an experienced Treasury Manager. This role involves managing FX and credit risks while formulating strategic business plans to maximize profits. The ideal candidate should possess strong leadership skills and a proven track record in the Treasury environment. You will also oversee complex financial instruments and maintain relationships with regulators and banks, emphasizing risk management and innovative solutions.

Qualifications

  • Proven track record in managing FX, interest rates, and credit risks.
  • Comprehensive understanding of markets products including derivatives.
  • Full understanding of International and local market dynamics.

Responsibilities

  • Accountable for profit before tax as per budget.
  • Formulate and strategize business plans to achieve profit targets.
  • Oversee the GCT Reserve Book business.

Skills

Managing FX, interest rates and credit risks
Building and maintaining business relationships
Strong leadership and interpersonal skills
Negotiation skills
Job description
A major banking institution in Singapore seeks an experienced Treasury Manager. This role involves managing FX and credit risks while formulating strategic business plans to maximize profits. The ideal candidate should possess strong leadership skills and a proven track record in the Treasury environment. You will also oversee complex financial instruments and maintain relationships with regulators and banks, emphasizing risk management and innovative solutions.
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