About the Role:
We are looking for a proactive and detail-oriented Treasury & Wealth Operation Specialist to join our growing team. In this role, you will be responsible for managing day-to-day treasury operations, ensuring accuracy in trade processing, settlement, and reconciliation. This is an ideal opportunity for a professional with 3+ years of experience who wants to work in a fast-paced, high-standard environment similar to top-tier banking institutions.
Key Responsibilities:
- Execute and confirm treasury trades including FX, Money Markets (MM), Bonds/Repo, and Derivatives.
- Perform daily reconciliation of positions, cash balances, and trade confirmations.
- Manage settlement processes and resolve any broken trades or discrepancies promptly.
- Ensure strict adherence to operational risk controls, compliance policies, and SLA requirements.
- Collaborate with front-office traders and back-office teams to ensure smooth end-to-end trade lifecycle management.
- Prepare daily reporting and assist in month-end/year-end closing processes.
Qualifications & Requirements:
- Bachelor's degree in Finance, Accounting, Economics, or a related field.
- Minimum 3 years of experience in Treasury Operations, Trade Support, or Settlements within the financial services sector.
- Must have previously worked in banking industry
- Solid understanding of various Treasury products, specifically: Foreign Exchange (FX), Money Markets (Deposits, CDs, Commercials Paper), Bonds & Repo transactions, Basic Derivatives (Forwards, Swaps, Options)
- Proficiency in treasury management systems (e.g., Murex, Calypso, Fiserv) and strong Excel skills.
- Excellent communication skills in English
How to Apply:
If you meet the above criteria and are ready for a new challenge, please submit your CV to [Confidential Information] with the subject line: Treasury & Wealth Ops - [Your Name].
Note: Only shortlisted candidates will be contacted for an interview.