
Enable job alerts via email!
Generate a tailored resume in minutes
Land an interview and earn more. Learn more
A prominent financial institution is seeking a finance professional to manage profit and risk strategies within its Corporate Treasury Unit in Singapore. Responsibilities include overseeing liquidity pricing, formulating business plans, and fostering key relationships with regulators and counterparty banks. The ideal candidate will have a strong track record in managing FX and credit risks, and possess exceptional leadership skills. This role offers opportunities for significant impact within the organization.