Established for over 50 years, the Client is an established corporate bank. They believe in grooming their employees to become the best at what they do, and offer internal mobility opportunities.
about the role
As part of the Treasury Department, you will:
- Manage the cash flow of major currencies
- Perform daily lending, swap and other trading operations
- Perform credit reviews for new and outstanding counterparties with credit
- recommendation
- Ensure risk limits are being adhered to
- Assist in maintaining documents and data from the Asset and Liability Management (ALM) committee meetings
skills and experience required
- Minimum Degree in a relevant discipline
- No experience required
- Prior experience in Treasury and knowledge in Bloomberg and Refinitiv systems would be a plus
- Proficient in Microsoft Office applications
- Good communications and interpersonal skills
If you would like to find out more about this role, please click apply below. Alternatively please connect with Lynda Tan at https://www.linkedin.com/in/lynda-tan/
EA: 94C3609 / R1223887