Treasury Settlements Manager (Checker) - Corporate Bank
RevUp Consulting SingaporeTreasury Settlements Manager (Checker) - Corporate Bank
RevUp Consulting Singapore
C
A regional bank is seeking an experienced Treasury Settlements professional to join its growing Treasury Operations team. This is a checker position offering broad product exposure, strong operational ownership and the opportunity to contribute to system enhancements and process improvements as the bank expands its presence.
Key Responsibilities
- Check treasury settlement transactions, ensuring accurate and timely processing.
- Support a broad range of products, including FX, Money Market, Bonds and Securities, Repo, Forwards and Dual Currency Investments (DCI).
- Investigate and resolve settlement exceptions, reconciliation breaks and operational issues.
- Partner closely with Treasury Front Office, counterparties, custodians and internal stakeholders.
- Maintain strong operational controls and ensure compliance with internal policies and regulatory requirements.
- Participate in system enhancements, UAT, regulatory initiatives and process improvement projects.
- Support and guide the settlement team in maintaining high operational and risk-control standards.
Requirements
- Minimum 8 years of Treasury Operations or Treasury Settlements experience within a bank.
- Strong hands-on experience across products such as FX, Money Market, Repo, Securities or Fixed Income.
- Prior checker experience is preferred.
- Good understanding of SWIFT messages and treasury settlement processes.
- Experience in system projects, UAT or regulatory initiatives would be advantageous.
Candidates who meet the above requirements are welcome to submit their updated CV for a confidential discussion.
Claire Ang
R22109899
EA Licence No.: 22S1193
claire.ang@revup-consulting.com
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