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Asia & Oceania Treasury Department
We are now seeking an experienced professional to join the team.
Your key roles & responsibilities include:
. Managing cash liquidity risk of Singapore office.
. Supervising cash liquidity management of Asia & Oceania offices.
. Dealing cash transactions in money market.
. Controlling interest rate risks from assets and liabilities by dealing derivative products such as interest rate swaps.
. Coordinating with other centers to make operation efficient.
. Collect market information and share with staff.
. Develop other staff, take the initiative as managers and show exemplary behavior.
What you should have:
. A Bachelor's Degree.
. At least eight years of relevant experience in treasury and financial markets products.
. Knowledge in VBA and API to be utilized in ALM operation.
. Knowledge of global financial regulations.
. Management skills to motivate subordinates.
. Highly motivated and able to collaborate and negotiate effectively with stakeholders.
. Business-level proficiency in English and Japanese.
Job ID: 135092557