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- Support preparation, reconciliation, and upload of manual adjustments
- Liaise with various stakeholders including Finance & Risk Shared Services (FRSS), Data Management Office (DMO), etc.
- Help eliminate the need for manual adjustments
- Assist in generation of daily liquidity reports and support pre- and post-production analysis of reports
- Liaise with Technology and Project teams in process enhancements initiatives, performing activities like data analysis, solutioning, testing, etc.
- Degree in Finance /Banking
- Work experience in the financial/Treasury industry, with Treasury or MAS reporting
- Experience in UAT, data reconciliations, gap analysis, etc. including with large datasets
- MAS LCR reporting experience
- Good in written and verbal communication skills
- Skills – Microsoft Office , Excel, large sets of data using vlookup, hlookup, pivot, etc.
Treasury Liquidity Executive/Banking - Singapore - FORTE EMPLOYMENT SERVICES PTE. LTD.
Description
Roles & Responsibilities# 12 months contract
# Office location: East
# LCR/ MAS Reporting
Responsibilities:
Requirements:
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Tell employers what skills you haveUAT
Treasury
Microsoft Office
Data Analysis
Solutioning
Data Management
Private Banking
Mobile Banking
Digital Banking
eBanking system
Banking Reports
Banking
Excel
Internet Banking
Vlookup
Mortgage Banking