Corporate banking: Cash Management – TREASURY Singapore based office recruitment

Well established investment bank is looking to add an experienced individual to join the Treasury department to take on a Cash Management position for Mid – large cap Corporates in Singapore (including large MNC based in the region). The ideal candidate will have a number of years experience in sales/RM in cash management. The candidate must speak Mandarin.

Responsibilities for: Treasury - Cash Management, Singapore . $Salary: Highly Competitive. (Treasury, Corporates, Transaction banking, Asia, Liquidity management)

• Liquidity management with a focus on cash accounts

• Manage cash accounts for Local Singapore corporations + MNCs

• Drive up the cash balance for large corporate (comprising of conglomerates of all industries).

• Manage client relationships on behalf of the bank with these Corporations

Skills / Attributes required for: Treasury - Cash Management, Singapore . $Salary: Highly Competitive. (Treasury, Corporates, Transaction banking, Asia, Liquidity management)

• Minimum 5 years trading experience

• Transaction banking background preferable

• Must speak Mandarin

• Must have experience managing CASH accounts ideally in the Corporate space