Fantastic senior treasury opportunity covering the APAC region for this progressive digital group managing the treasury function and balance sheet management for the business. The broad nature of this role will encompass the design, implementation and monitoring of the liquidity risk framework and treasury funding, using cutting edge technology.
Reporting to the CFO this role will lead all Treasury related activities, advise the business on any related matters and drive all Treasury initiatives forwards. Essentially this position will handle overall funding and liquidity management for the region. It will require the design, implementation and monitoring of the liquidity risk framework for the business. It will also encompass cash management and the associated risk, control and governance.
Requirements:
- 15 years+ experience in a senior Treasury/Liquidity Risk Management/Balance Sheet Management role in a financial institution ideally with some Fintech industry experience
- Experience in the design and implementation of liquidity risk framework and an excellent understanding of Singapore MAS regulations and the local financial regulatory environment
- An in depth understanding of funding and resolution planning
- Strong quantitative and analytical skills