BANK TREASURY OFFICER
Job Summary
Join our Treasury team as a Treasury Front Office Support professional, providing essential operational and administrative support to ensure smooth treasury and FX activities, accurate reporting, and effective coordination across teams.
Responsibilities
- Deliver timely and accurate operational support for treasury and foreign exchange (FX) activities to ensure smooth execution of daily tasks
- Support treasury dealing teams by managing trade documentation, processing transactions, preparing reports, and coordinating with internal stakeholders
- Prepare market updates, treasury reports, presentations, and analytical materials to facilitate business reviews and informed decision-making
- Assist in client and counterparty onboarding by collecting documentation, tracking processes, and coordinating across internal teams
- Enhance operational processes, controls, and reporting workflows to improve efficiency and accuracy within treasury operations
- Provide administrative support to the Treasury team and contribute to ad hoc projects and initiatives as needed
- Prioritize tasks independently while maintaining meticulous attention to detail and accuracy in all deliverables
- Collaborate effectively within the team, demonstrating a positive and proactive approach to work
Required competencies and certifications
- Proficiency in English and Mandarin (spoken and written) to communicate effectively with diverse stakeholders and address their queries
- Self-motivation and ability to work independently, prioritize tasks, and meet deadlines
- Strong attention to detail and accuracy in operational and reporting tasks
Preferred competencies and qualifications
- Degree in Banking, Finance, Accountancy, or a related discipline
- Proficiency in Microsoft Excel and PowerPoint to support reporting and presentation preparation