Search Results: 1,809 vacancies
...necessary;
To provide support or work with Global Markets Division for Asia, Marketing, Interbank counterparties, in related to treasury market transactions; and
To follow standard procedures to comply with local, Japanese and foreign regulatory requirements (e.g....
...s, including accurately forecasting cask flows and maintaining optimal liquidity levels;
Prepare timely and accurate reports on treasury activities, financial metrics, and cash flow forecasts for both management and the parent group;
Execute and oversee treasury o...
Our client is a multinational Investment Bank that is seeking a Treasury Analyst to support the finance team operations.
Responsibilities:
Handle business management from planning, reporting, forecasting, and business analyses
Engage in internal auditing, KYC,...
...B, Javascript, RDBMS (Oracle, Sybase, MS SQL), SQL and UNIX shell scripting
~Experience in Kondor+, Fusion Risk, K+TP or similar treasury application support experience will be an advantage
~Self-motivated, good analytical and trouble-shooting skills, able to work i...
...a strong presence in the global financial industry. They are now actively looking to recruit a highly skilled and experienced Analyst, Treasury Operations to join their dynamic team.
Responsibilities:
~Process and verify treasury transactions and administrative op...
...
~5 – 7 years of business analysis in finance/banking sector
~ Candidates should have sound banking product knowledge preferably Treasury related products
~ Good knowledge in systems, processes, risks and technology
~ Good understanding of Financial products and...
...xperience will be considered for the position of Senior System Analyst.
~ Solid understanding of software development life cycle ... ...ence on Linux, Windows Platform
~ Experience in supporting Treasury System (e.g. Murex, Summit) is an advantage
~ Strong analy...
Responsibilities:
Develop and maintain application systems for Treasury
Perform business and data analysis
Collaborate with the team and vendor on technical design and technical solutions review
Create technical and functional specifications and ...
...ojects
~Negotiate banking and financing terms for the Group
~Liaise with internal stakeholders and external parties to resolve treasury and cash management issues
~Supervise and support FX and cash allocation
Requirement:
~Degree holder with at least 6 year...
...ny
We are currently working with a leading global bank in Hong Kong and is seeking a qualified and experienced Treasury Business Analyst/Project Manager to join our team.
The Role
~ We are seeking a skilled and experienced Business Analyst/...
...
The key goal of the project is to streamline the processing of cash and foreign exchange operations hence why a strong domain in treasury products, cash management, and FX activities would be essential for the project consultant to excel in the role.
Responsi...
Our client is an international investment bank, and they're looking for talented Treasury candidates from leading financial serviceinstitutions to join their team!
Responsibilities:
Conduct FP&A and treasury analysis to provide financial insights to the senior man...
Responsibilities:
Responsible for treasury control, cash management and cash flow forecast preparation
Execute bank loan orders, handle loan administration and repayment
Coordinate with banks for daily funding management
Assist to prepare banking facilitie...
Responsibilities:
Handle the daily treasury activities such as cash transfer, deposits placement for clients
Prepare the daily cash reconciliation and report
Monitor the daily liquidity management for securities/futures/bonds settlement
Ensure smooth runni...
Responsibilities
Responsible for sales & marketing full range of treasury products including FX/Fixed income products, include cash bond, FX, interest rates swap, structure deposit, credit derivatives etc. and services to our corporate and institutional clients.
...
Job Duties
Treasury Operations
Global Corporate Treasury Role, assist in driving treasury initiatives.
Assist in managing ... ... Candidate with less experience could be considered as Senior Analyst, Treasury
Short notice period / immediate availability is ...
Scope of Responsibilities:
Handle daily treasury activities including global payment, deposit placement, inter-company transfer and bank account opening
Responsible for cash management and monitor daily cash-flow
Prepare cash-flow and liquidity forecast...
Responsibilities:
Provide support for investment products pricing and dealing.
Provide market update and product solution to internal clients.
Assist in developing new products in response to the needs of clients.
Assist in the processes of product due dil...
...lationship and develop marketing plans. Provide market information and trading strategies to clients;
Promote primary bonds and treasury products to clients and execute clients’ order;
Achieve sales target allocated by management;
Act as key contact point to li...
Job duties:
~Handle daily treasury activities including global payment, deposit placement, inter-company transfer and bank account opening
~Responsible for cash management and monitor daily cash-flow
~Prepare cash-flow and liquidity forecast on a weekly/monthly b...