Job Description
Day-to-day processing of all Treasury products inclusive of trade verification, monitoring of confirmations, settlement of trades and investigations
Ensure that trades are processed, confirmed and settled timely and accurately in accordance to the Bank’s policies and procedures
Timely identification, escalation, and resolution of all trade issues with front office/counterparties to ensure timelines are met
Implementation and support for new product launches
Management of SWIFT Alliance System, including processing of SWIFT
Preparation of Management/head office/MAS reports
Management of issues related to Accounts Payables, including providing support for vendor payments and staff claims (non-payments related processes, mainly in Oracle)
Carry out other duties as and when assigned
Job Requirement
Minimum a bachelor’s degree in Business Administration or a relevant discipline
Minimum 5 years’ related working experience within the Banking industry, particularly in Treasury Operations
Interested candidates who wish to apply for the advertised position, please click on “Apply”. We regret that only shortlisted candidates will be notified.