Corporate Treasury | Analyst/Associate | Singapore

We are looking for a junior Treasury candidate for a role with a leading Asian Bank.

This role sits in the regional HQ in Singapore and reports to the Head of the Business.

Responsibilities for the Treasury position:

- Be responsible for Treasury activities; cash management, balance reporting etc.
- Ensure all business units are working at optimum liquidity levels; oversee regional funding and cash flow forecasting
- Identify opportunities to improve treasury process and ensure effective Treasury practices across Asia
- Balance sheet and asset liability management
- Handle all Treasury requests; resolve any issues and work closely with Management teams

Requirements for the Treasury position:

- At least 1 year working experience in a Treasury, Corporate Treasury, Treasury Operations or related function
- Strong degree in Banking, Economics, Finance or a related field
- Strong communication skills and team working ability

Please submit all applications to apply.a33hoiy2qf@selbyjennings.aptrack.co.uk or call us at +65 6589 4410 for more information

Key Words: Treasury, Funding, Liquidity, Corporate Treasury, Dealing, Singapore, Asia

For more information, please visit www.selbyjennings.com or contact us at +65 6589 4410

Selby Jennings Pte Ltd MOM EA License no: 11S3033

May 2, 2013 • Tags: , • Posted in: Financial

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