|Location:||Kuala Lumpur, Malaysia|
|Specialisation:||Banking & Financial Services|
Our client is a premier global operations center for a well-known international bank currently seeking a Professional to handle the alerts as per current policies and procedures. The bank itself is a tier-1 bank operating across all areas of retail, corporate and investment banking.
Your role will require to represent as Corporate Treasury management.
The Successful Applicant
- Minimum of 12-15 years relevant experience in Corporate Treasury (FX/Money Market) and combination with Balance sheet management /ALM.
- Manage daily rate setting and funding trade execution / coordinate with global partners.
- Proven track record in the Treasury function and experience in dealing with regulators.
- Good in funding execution and funding forecasting.
- Strong people management skills.
What's on Offer
- Employee Recognition.
- MNC Environment
Please contact Harvin Kaur on (603) 2300 7219 or email at email@example.com