Lead the Treasury function, covering funding and liquidity strategy, balance sheet management, and treasury operations. Drive ALCO/ALM policies, interest rate risk, capital risk, and balance sheet optimisation to support profitability and risk appetite. Ensure compliance with MAS regulatory frameworks and internal limits, including LCR, NSFR, ILAA, Basel 4, and BCBS239. Oversee treasury systems, process automation, regulatory reporting, audits, and stakeholder engagement with Finance, Product, Growth, and Technology teams. Advise senior management on optimal balance sheet shape, liquidity gaps, and interest rate risks.
Requirements
Over 10 years of bank treasury experience, preferably across front, middle and back offices
Strong understanding of MAS regulatory frameworks for banks, such as LCR, NSFR, ILAA, and Notices 649/656/651
Experience in liquidity management, ALM, funding strategy, and treasury operations
Familiarity with FTP frameworks, balance sheet analytics, and treasury systems such as QRM
Advanced to expert competency in treasury markets, liquidity risk, capital risk, IRRBB, and MAS settlement systems
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