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Treasury and Capital Markets Manager

Job description

  • Big 4
  • Attractive remuneration
  • Diversify culture and working environment

Main Responsibility:

  • Financial risk management solutions including market risk, liquidity risk, funding and refinancing risk, and counterparty credit risk.
  • Banking, insurance and superannuation governance, controls and regulatory support for markets and treasury divisions (including APRA, Basel and IOSCO regulations and standards)
  • Treasury strategy, operating model and transformation support
  • Cash management, transactional banking, payments and working capital optimisation
  • Investment management solutions for selected clients across all asset classes


  • Experience in market risk including regulatory and governance frameworks, treasury transformation including technology, finance (debt funding), global cash management, controls and internal audit, investments and standards / regulations relating to treasury and investment functions.
  • Have a confidence to oversee quantitative and regulatory projects and back your findings and recommendations with evidence from a range of relevant sources.
  • Capability to create insightful reports and presentations and deliver / co-deliver to executives and public company board meetings.

To apply, please click "APPLY NOW" or email Reeve at quoting reference number #259034. Data provided is for recruitment purposes only. *LI-IT

Due to the volume of applications received, we regret to inform you that only shortlisted candidates will be notified.

JTK Number: JTKSM 995 | Company Registration Number: 201301019088 (1048918-T)

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