Specialist - Treasury Operations (12 month Fixed Term Contract)

Anglo American / De Beers Group

Singapore

On-site

SGD 90,000 - 170,000

Full time

14 days+
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Job summary

Anglo American is seeking a Treasury Operations Specialist for a 12-month fixed-term contract in Singapore. You will own critical treasury processes including cash settlements, FX trade validation, margin and collateral management, and banking relationship coordination.

The role requires close collaboration with internal stakeholders and banking partners to ensure accurate processing and robust controls. You will drive process improvements and support treasury projects within a high-performing

Qualifications

  • 5+ years of treasury experience within a treasury setting.
  • Experience managing banking relationships and bank-related processes.
  • Experience with trade confirmation and settlement workflows.
  • Ability to interface with multiple levels of an organization and drive delivery.

Responsibilities

  • Execute cash transfers and settlements for treasury and cash transactions.
  • Liaise with banks on operational issues and update internal stakeholders.
  • Set up bank accounts and manage KYC reviews and access rights.
  • Manage inter-co loans and deposits with Group; perform monthly reconciliations.

Skills

Treasury experience
Banking relationships
Trade confirmation & settlement
Stakeholder leadership
Risk awareness

Tools

Banking systems

Job description

Specialist - Treasury Operations (12 month Fixed Term Contract)

We’re re-imagining mining to improve people’s lives. That includes the lives of everyone who works for Anglo American. We strive to be a great company where employees are happy and inspired to do their best work. A place where every colleague can grow, develop and realise their potential. To live up to our Always with Purpose employee value proposition, we’re putting the development and growth of colleagues first by ensuring everyone at Anglo American has the career experience they deserve.

Join our team as a Treasury Operations Specialist, where you will play a key role in supporting a fast-paced financial trading environment within the Marketing Business Unit. This is an exciting opportunity to take ownership of critical treasury operations, including cash settlements, FX trade validation, margin and collateral management and banking relationship coordination. You will work closely with internal stakeholders and banking partners to ensure seamless transaction processing, effective risk management, and robust operational controls, while also driving process improvements and supporting strategic treasury projects. If you thrive in a dynamic environment and enjoy combining operational excellence with problem-solving and stakeholder engagement, this role offers excellent exposure and development opportunities within a high-performing treasury function.

Core Responsibilities
  • Perform timeous, controlled execution of cash transfers & settlements for Treasury and cash transactions
  • Liaise with banks on operational issues with updates to internal stakeholders.
  • Bank account static data setup in relevant systems and banking access rights setup/review.
  • Bank account management – open/close bank accounts and manage banks’ periodic KYC reviews
  • Ensure all authorised risk mandates and marketing entity name changes are accurately and promptly updated with banking partners
  • Perform validation and confirmation processes for FX trades, ensuring accuracy of inputs to risk reporting and settlements processes.
  • Accurate setting up of Inter‑co loans & deposits with Group
  • Perform monthly reconciliation on inter‑co interest rates & transactions.
  • Margin administration & settlement for trading position with clearing partners and other counterparties
  • Ensure prompt payment and refund of margin following validation of P&L by Risk reporting team
  • Perform settlement processes for financial trades
  • Drive projects for Marketing and partner with Group through providing Marketing Treasury Operational lens, collaborating with stakeholders and supporting User Acceptance Testing & post go‑live transitional phase.
Qualifications
  • 5+ years relevant experience within a Treasury setting
  • Managing banking relationships
  • Trade confirmation and settlement processes
  • Demonstrated ability to interface successfully at multiple organisation levels
  • Results oriented, capable of holding self and others to account on delivery
  • Ability to understand perspective of multiple stakeholders, and successfully influence / challenge the opinions of colleagues and senior manager

Anglo American is an equal opportunities employer. We are committed to promoting an inclusive and diverse workplace where we value and respect every colleague for who they are and provide equality of opportunity so that everyone can fulfil their potential.

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