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Our client is one of the largest banking and financial services organizations in the world, with an extensive global network. A prominent player that offers a broad range of banking and financial services, is seeking a dynamic, highly numerate and responsible candidate to fill this role. Key Responsibilities: - Safeguard the Bank from losses by diligently monitoring dealing, FX exposure, interest rate risk exposure and maximum loss limits and reporting excesses promptly. - Verification and analysis of P&L and balance sheet. - Contribute to the efficiency and competitiveness of local Global Banking and Markets business by providing timely, accurate and meaningful financial information and analysis to management. - Co-ordinate and participate in Strategic / Annual / Rolling Operating Plan preparation. - Contribute to the growth of the Treasury business by keeping abreast of new Treasury products and the associated risk and accounting treatment. - Ensures full compliance with accounting standards, Group standards and local regulations including Capital / RWA and VaR requirements. Ensure compliance with audit recommendations. - Develop a professional and effective work force through coaching and providing leadership and guidance Requirements: - Min 10 years experience in Treasury mid-office (Treasury Finance, Risk and Product Control) functions. Exposure to back office (Treasury Operations) will be helpful. - Degree or professional qualification in Accountancy and/or Finance - Highly numerate with strong analytical reasoning ability - Strong PC skills, especially in spreadsheets like EXCEL & Visual Basic Please send your CV in word format to eteo@morganmckinley.sg
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