about the company
Our client is a foreign bank, offering a full range of services to meet the needs of customers across the world. The company prides themselves on conducting operations with the highest standards of integrity and is committed to help employees become the best that they can be.
about the job
- You will be part of the Treasury Operations team responsible for managing the cash flow of major currencies, and performing daily lending, swap and other trading operations
- Perform credit reviews for new and outstanding counter-parties with credit recommendation
- Provide assistance in maintaining Asset and Liability management committee related document and data
- Other treasury activities and projects assigned
skills and experience required
- Min. bachelor degree holder in Banking & Finance, Economics or related fields
- No experience required
- Possess at least 1-2 year of relevant experience in Treasury would be an advantage
- Strong technical skills in Bloomberg and Refinitiv would be a plus point
- FMRP certified would be an advantage
- Proficient in English and Mandarin as the role requires communication with Mandarin speaking counterparts
To apply online please use the 'apply' function, alternatively you may contact Krystal Kwah at 65171620 (EA: 94C3609/ R22104933)