The position will entail the job of supporting an MNC bank Singapore Country Corporate Treasury team and will be responsible for supporting BAU activities in liquidity-related local regulatory reporting and report automation projects. Please note that this is a contract position in our Company for 12 months which could be renewed.
The role would support the Singapore corporate treasury team in liquidity-related local regulatory
reporting (such as, but not limited to, MAS 649), and represent the team in report automation
projects, performing activities like data analysis, solutioning, testing, etc.
Key Responsibilities:
• Support preparation, reconciliation, and upload of manual adjustments
• Liaise with various stakeholders including Finance & Risk Shared Services (FRSS), Data Management Office (DMO), etc. in the identification and remediation of the root causes to help
eliminate the need for manual adjustments
• Assist in the generation of daily liquidity reports from the new system (RegInsight) and reconciliation
against current production reports to highlight differences and support the investigation/remediation of these differences
• Support pre- and post-production analysis of reports (e.g. trend analysis, variance analysis, etc.)
• Involved in report automation projects, performing activities like data analysis, solutioning, testing,
etc
Qualifications:
• Work experience in the financial services industry, preferably with Treasury and/or MAS reporting
• Problem solver with the ability to translate plans into actions
• Experience in UAT, data reconciliations, gap analysis, etc. including with large datasets
• Proficient in Microsoft Office (Excel, Access)
• MAS LCR reporting experience will have an advantage
• Consistently demonstrate clear and concise written and verbal communication skills
• Strong control mindset, identifying and mitigating risks, communicating and escalating concerns
• Excellent project management and organizational skills, with an ability to multitask and adapt to
change
Skills:
- Finance / Treasury understanding
- Proficient in Microsoft Office (Excel) – Comfortable to manage/compare large sets of data using vlookup, hlookup, pivot, etc.
- Proficient in Microsoft Office (Access)
- Basic coding/programming skills
- Ability to write macros etc. to speed up tasks will be an advantage but not essential
- Able to work independently and as part of a team
- Able to pick up new tasks quickly, multitask, and escalate concerns promptly.
The Work Location will be in the CBD area around Raffles Place/Downtown/Shenton.