Associate, Liquidity Management at Standard Chartered
Singapore, Southeast, Singapore -
Full Time


Start Date

Immediate

Expiry Date

22 Jun, 25

Salary

0.0

Posted On

22 Mar, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Banking/Mortgage

Description

Job ID: 21623
Location: Singapore, SG
Area of interest: Treasury
Job type: Regular Employee
Work style: Office Working
Opening date: 7 Mar 2025

ABOUT STANDARD CHARTERED

We’re an international bank, nimble enough to act, big enough for impact. For more than 170 years, we’ve worked to make a positive difference for our clients, communities, and each other. We question the status quo, love a challenge and enjoy finding new opportunities to grow and do better than before. If you’re looking for a career with purpose and you want to work for a bank making a difference, we want to hear from you. You can count on us to celebrate your unique talents and we can’t wait to see the talents you can bring us.
Our purpose, to drive commerce and prosperity through our unique diversity, together with our brand promise, to be here for good are achieved by how we each live our valued behaviours. When you work with us, you’ll see how we value difference and advocate inclusion.

Together we:

  • Do the right thing and are assertive, challenge one another, and live with integrity, while putting the client at the heart of what we do
  • Never settle, continuously striving to improve and innovate, keeping things simple and learning from doing well, and not so well
  • Are better together, we can be ourselves, be inclusive, see more good in others, and work collectively to build for the long term
Responsibilities

RESPONSIBILITIES

Standard Chartered Treasury Markets (TM) business is looking for a Dealer to join their Liquidity team in Singapore. Treasury Markets is part of the broader Treasury function and is responsible for interest rate and liquidity risk management. It is a front office function setup as a profit centre to directly face the market. TM combines an in-depth knowledge of both financial markets and B/S management, while balancing the twin requirements of profitability and risk management.

In this role, the successful candidate will be exposed to a highly dynamic area of Standard Chartered and will have the opportunity to deal in financial markets while also gaining a deeper understanding of B/S management. This role will provide the successful candidate with the exposure to the broader Treasury community, as well as the FM business.

  • Responsibility for cash and liquidity management in multiple currencies via dealing in swaps, repos and interbank
  • Participate as a Primary Dealer in MAS money market operations
  • Manage liquidity risk within limits (both internal and regulatory) while driving overall B/S optimisation
  • Keep abreast of market conditions and suggest trade ideas as appropriate
  • Enhance B/S modelling and analysis to communicate and capture potential opportunities to senior management.
  • Understand and monitor key P&L drivers for Treasury Markets. Suggest risk mitigation ideas and upgrade analysis/modelling

OTHER RESPONSIBILITIES

  • Embrace Here for good and Group’s brand and values in the ASEAN and Singapore Treasury-Markets team
  • Perform other responsibilities assigned under Group, Country, Business or Functional policies and procedures.
  • Revenue budget from money market dealings; pre-empting tight or surplus liquidity; switching between currencies; switching between centres; bid-offer spread
  • Absolute fairness in all liquidity pricing to all business units of the Bank, acting in the Bank’s best interests at all times

ROLE SPECIFIC TECHNICAL COMPETENCIES

  • Risk Management - Market / Liquidity
  • Financial – Balance Sheet Management
  • Financial - Yield Curves
  • Bank Treasury Management – Treasury-Markets
  • FM Products – Money Markets
  • FM Products – Fixed Income Analysis
  • Treasury Operations - Liquidity Management
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