Treasury Front Office Analyst: Cash, FX & Banking

Anglo American / De Beers Group

Singapore

On-site

SGD 56,000 - 89,000

Full time

6 days ago
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Job summary

Anglo American is seeking a Treasury Front Office Analyst for a 6-month fixed-term contract in Singapore. The role supports reporting, cash management, FX requirements, and banking relationships to underpin growing trading activities.

You will help implement Treasury systems and participate in daily operational tasks with a focus on accuracy and process improvement. The ideal candidate has a finance or business degree, hands-on treasury or trade finance experience, and a proactive, analytical

Qualifications

  • Analytical skills to support treasury reporting and cash forecasting.
  • Experience in treasury or trade finance functions within a reputable organisation.

Responsibilities

  • Assist in Treasury reporting and cash forecasting for Marketing front office.
  • Support cash management and FX activities across marketing entities.
  • Coordinate banking relationships, KYC onboarding, and line facilities.
  • Aid in system improvement projects and UAT for treasury systems.

Skills

Analytical mindset
Treasury/trade finance experience

Education

Bachelor's degree in Business or Finance

Tools

Treasury systems

Job description

Anglo American is seeking a Treasury Front Office Analyst for a 6-month fixed-term contract in Singapore. The role supports reporting, cash management, FX requirements, and banking relationships to underpin growing trading activities.

You will help implement Treasury systems and participate in daily operational tasks with a focus on accuracy and process improvement. The ideal candidate has a finance or business degree, hands-on treasury or trade finance experience, and a proactive, analytical

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