
Treasury Liquidity Manager/Banking
2 weeks ago
12 months contract
# Office location: East
# LCR/ MAS649/652 Reporting
Focus: support the country corporate treasury team in performing both daily and monthly activities in support of liquidity related local regulatory reporting requirements
Responsibilities:
Support preparation, reconciliation, and upload of manual adjustments
Liaise with various stakeholders including Finance & Risk Shared Services (FRSS), Data Management Office (DMO), etc.
Help eliminate the need for manual adjustments
Assist in generation of daily liquidity reports and support pre- and post-production analysis of reports
Liaise with Technology and Project teams in process enhancements initiatives, performing activities like data analysis, solutioning, testing, etc.
Requirements:
Degree in Finance /Banking
Work experience in the financial/Treasury industry, with Treasury or MAS reporting
Experience in UAT, data reconciliations, analysis, etc. including with large datasets
MAS LCR reporting experience
Good in written and verbal communication skills
Skills – Microsoft Office , Excel,
Send your Cv to
Tell employers what skills you haveLiquidity Risk
UAT
Treasury
Microsoft Office
Data Analysis
Solutioning
Data Management
Liquidity Management
Banking
Excel
liquidity analysis
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