Strategic Treasury & ALM Specialist - Liquidity & Analytics

Bank of Singapore, Asia’s Global Private Bank

Singapore

On-site

SGD 120,000 - 180,000

Full time

9 days ago
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Benefits offered by this job

Corporate Treasury exposure

Job summary

Bank of Singapore seeks a Treasury professional to join the Corporate Treasury team in Singapore. You will support balance sheet strategy, liquidity management, and NII analytics to drive profitability and resilience.

Ideal candidates have 5–7 years in Corporate Treasury/ALM, strong analytical skills, and experience with forecasting, stress-testing, and pricing. CFA/FRM credentials are advantageous.

Qualifications

  • 5–7 years of Corporate Treasury/ALM experience.
  • Strong analytical capabilities with the ability to translate concepts into actionable insights.
  • Experience in forecasting, stress-testing, and scenario analysis.

Responsibilities

  • Balance Sheet Strategy and Management: support balance sheet strategies and forecasting.
  • Fund Transfer Pricing: review policies and methodologies to align incentives.
  • Liquidity Management and Funding: manage daily funding and liquidity activities.
  • Business Advisory: provide financial analysis and forward-looking insights.

Skills

ALM
Treasury
Analytical thinking
Strategic thinking
Forecasting
Stress testing
Scenario analysis
AI analytics

Education

Bachelor’s degree in finance or economics
CFA/FRM advantageous

Job description

Bank of Singapore seeks a Treasury professional to join the Corporate Treasury team in Singapore. You will support balance sheet strategy, liquidity management, and NII analytics to drive profitability and resilience.

Ideal candidates have 5–7 years in Corporate Treasury/ALM, strong analytical skills, and experience with forecasting, stress-testing, and pricing. CFA/FRM credentials are advantageous.

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