Associate, Liquidity Management, Treasury Markets
2 days ago
Associate, Liquidity Management, Treasury Markets Post at Standard Chartered Singapore. Job Summary Standard Chartered
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Singapore Standard Chartered Singapore Full timeDescription Associate, Liquidity Management, Treasury Markets Post at Standard Chartered Singapore. Job Summary Standard Chartered
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Deputy Global Head Liquidity, Treasury Markets
2 weeks ago
Singapore Standard Chartered Full timeJob ID: 41047 Location: Singapore, SG Area of interest: Treasury Job type: Regular Employee Work style: Office Working Opening date: 29 Sept 2025 **JOB SUMMARY** - Support the Global Head of Liquidity Mgt in leading Treasury Markets in developing and executing of strategy for optimal management of the Group’s balance sheet and liquidity in line with...
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Liquidity Manager, Japanese Speaking
2 days ago
Singapore JERA Global Markets Full timePosition Description The Liquidity Manager role sits within the Treasury department that is responsible for all aspects of treasury risk management including liquidity management, cash flow forecasting, foreign exchange, interest rate risk management, collateral management and margining. This role will be directly responsible for JERAGM's immediate holding...
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Liquidity Risk Associate
1 week ago
Singapore BTI EXECUTIVE SEARCH PTE. LTD. Full time**LIQUIDITY RISK ASSOCIATE **Responsibilities - Serve as Subject Matter Expert in liquidity risk for specific businesses or products. - Monitor and report positions against liquidity risk limits/guidelines. - Enhance liquidity risk reporting and analytical capabilities for external/internal stakeholders. - Develop/enhance and propose new liquidity risk...
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Avp - Global Liquidity Management - Treasury
2 weeks ago
Singapore Citi Full timeThe individual will work in Global Liquidity Management (GLM) group within Corporate Treasury. The GLM group is responsible for setting firm wide liquidity risk policy and standards, establishing the framework for sizing liquidity requirements including internal stress testing framework, developing contingency funding plans in conjunction with other...
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Singapore MUFG BANK, LTD. SINGAPORE BRANCH Full time**Job responsibilities**: - Report to the Head of Department of Treasury in AGMD. - Support the Head of Department of Treasury in AGMD manage business from creating and enforcing strategies, day-to-day operations, financials reporting, risk management, internal/external product promotion, initiatives /project management and governance stand point of view...
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Liquidity Manager, Japanese Speaking
2 days ago
Singapore JERA GLOBAL MARKETS PTE. LTD. Full timePosition Description The Liquidity Manager role sits within the Treasury department that is responsible for all aspects of treasury risk management including liquidity management, cash flow forecasting, foreign exchange, interest rate risk management, collateral management and margining. This role will be directly responsible for JERAGM's immediate holding...
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Treasury Associate
1 week ago
Singapore StoneX Group Full timeOverview Class: Full-time AND Permanent Legal Entity: StoneX Financial Pte. Ltd. Report to: Treasury Manager Company Overview: Connecting clients to markets – and talent to opportunity. With 4,500+ employees and over 300,000 commercial, institutional, payments, and retail clients, we operate from more than 70 offices spread across six continents. As a...
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Treasury Associate
2 weeks ago
Singapore StoneX Group Full timeOverview Class: Full-time AND Permanent Legal Entity: StoneX Financial Pte. Ltd. Report to: Treasury Manager Company Overview: Connecting clients to markets – and talent to opportunity. With 4,500+ employees and over 300,000 commercial, institutional, payments, and retail clients, we operate from more than 70 offices spread across six continents. As a...
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Associate, Liquidity Management
2 weeks ago
Singapore Standard Chartered Bank Full time $104,000 - $130,878 per yearJob ID: 39406Location: Singapore, SGArea of interest: TreasuryJob type: Regular EmployeeWork style: Office WorkingOpening date: 15 Sept 2025RESPONSIBILITIESResponsible for cash and liquidity management in 10+ currencies by dealing in swaps, repos and interbank cash.Participate as a Primary Dealer in MAS money market operationsManage liquidity risk within...