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Treasury Strategy Leader: FX, Rates & Risk

MALAYAN BANKING BERHAD

Singapore

On-site

SGD 125,000 - 150,000

Full time

2 days ago
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Job summary

A leading bank in Singapore is seeking a financial strategist responsible for managing profit before tax, developing competitive business plans, and overseeing wholesale liquidity pricing. The ideal candidate will lead treasury operations and cultivate key relationships while ensuring compliance with regulatory standards. Strong expertise in foreign exchange and risk management is essential for this role, alongside proven leadership skills.

Qualifications

  • Proven track record in managing FX, interest rates, and credit risks.
  • Strong leadership and interpersonal skills.
  • Comprehensive understanding of market products including FX and derivatives.

Responsibilities

  • Accountable for profit before tax.
  • Formulate and strategize business plan to achieve profit targets.
  • Oversee the GCT Reserve Book business.

Skills

Managing FX and interest rates
Building business relationships
Leadership skills
Understanding of regulatory issues
Job description
A leading bank in Singapore is seeking a financial strategist responsible for managing profit before tax, developing competitive business plans, and overseeing wholesale liquidity pricing. The ideal candidate will lead treasury operations and cultivate key relationships while ensuring compliance with regulatory standards. Strong expertise in foreign exchange and risk management is essential for this role, alongside proven leadership skills.
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