Login or register to see your saved jobs and receive scout emails
Login or register to find a job
Job ID : 1504806 Date Updated : December 3rd, 2024

PR/094123 | Treasury Officer

Location Singapore, Singapore
Job Type Permanent Full-time
Salary Negotiable, based on experience

Job Description

COMPANY OVERVIEW

Our client is one of the leading Banking Services companies in Japan. They are currently looking for officer to join their Treasury team.



JOB RESPONSIBILITIES
 

This position is responsible for performing all clerical work related to market transactions and cash flow operations. Reporting line is to the Head of Treasury.

 

  • Management of daily cash flow:  Calculate daily overnight position for clearing account and request transfers between accounts and check clearing account to ensure a positive daily ending balance. Observe the rules and regulations of the MAS regulations/Reporting, etc. Various forms of daily or weekly cash flow schedule are also required to be prepared. 

  • Management funding needs for the Branch:  To be determined by daily cash flow position and asset balance of securities, loans, cash lending and other assets.  Various forms of daily or weekly funding schedule are also required to be prepared.

  • Foreign Exchange:  Handling foreign exchange transactions for customers and adjust our branch position on the foreign exchange.  Preparation of funding ticket once trade has been confirmed with brokers or traders directly.

  • Securities deal:  Follow up the securities deal or swap deal after the Section Head of Treasury Department agreed the deal with counterparty.

  • Market information Update:  Update news and information on financial markets and provide to our customers and the Branch management.

  • Securities Portfolio Data Maintenance:  Maintain the Securities Portfolio Record for the Section Head of Treasury Department.

  • Others:  Watch and check the credit rating for our assets. Know all current events that may affect the market. Other responsibilities assigned by the Head of Treasury.


REQUIREMENTS
 

  • Degree in Banking & Finance or equivalent 

  • CMFAS (RES12B, CM-CMP)

  • At least 1 year of Corporate Banking experience in Treasury Operation

  • Precise, attention to detail with a risk and control mindset. 

  • Good oral & written communication skills, and strong inter-personal skills


We regret to inform that only shortlisted candidates will be notified. Appreciate your understanding.


#LI-JACSG #countrysingapore

EA: JAC Recruitment Pte. Ltd.
EA Licence: 90C3026
EA Personnel: R1872039
EA Personnel Name: Nurdiana Teng Abdullah

General Requirements

Minimum Experience Level Over 3 years
Career Level Mid Career
Minimum English Level Business Level
Minimum Japanese Level Business Level
Minimum Education Level Associate Degree/Diploma
Visa Status No permission to work in Japan required

Job Location

  • Singapore, Singapore

Work Conditions

Job Type Permanent Full-time
Salary Negotiable, based on experience
Industry Audit, Tax Accounting

Job Category

  • Other > Other