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Deskripsi
Job description for Treasury Analyst - Cash & Liquidity at Ambition Group Singapore
We are looking for a motivated Treasury Analyst to join the Singapore team. This is an excellent opportunity for a fresh graduate or junior professional looking to build hands-on experience across treasury, liquidity management and financial markets.
- Key Responsibilities
- Support the Treasury Cash Position Desk in its daily activities
- Perform intraday liquidity monitoring and related reporting
- Support Asian cash netting and interim payment activities
- Gain hands-on exposure to cash management and investments with international banks
- Ensure treasury activities and procedures comply with relevant regulatory requirements
- Support Treasury Front Office projects and PMO-related activities
- Drive or support automation and data analytics initiatives within Treasury Front Office
- Work closely with internal stakeholders and external banking counterparties
- Provide ad hoc operational and administrative support where required
Requirements
- Fresh graduate or around 1 year of relevant experience
- Bachelor's degree in Banking, Finance, Economics or a related discipline
- Good understanding of basic financial and investment instruments, including bonds, equities and ETFs
- Strong numerical and analytical skills
- Good written and verbal communication skills in English
- Exposure to VBA, Power BI, coding or data analytics would be highly advantageous
- Project management exposure would be a plus
- Proactive, detail-oriented and willing to learn
- Able to work independently while collaborating effectively in a multicultural environment
- Comfortable working in a fast-paced environment and managing multiple priorities
- Shortlisted candidates will be notified
- Data provided is for recruitment purposes only
- Business Registration Number: 200611680D.
- License Number: 10C5117 EA Registration Number: R1875960