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Analyst/Associate, Treasury

Salary undisclosed

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Responsibilities

  • Monitor and cover daily cash positions and nostro accounts.
  • Execute money market transactions and ensure dynamic funding strategies.
  • Execute FX & Interest Rate derivatives to ensure activities are in line with desk mandates.
  • Assist with management and execution of High-Quality Liquid Asset portfolio.
  • Understand essential regulatory requirements/ratios and ensure activities are compliant.

Profile required

Academic Background and Certifications, Experience:

  • Recent graduate or candidates with less than 4 years’ experience
  • For experience candidates, knowledge of local regulations and SGD market activities preferred.

Operational Skills:

  • Detail-oriented, analytical and natural acumen for numbers.
  • Strong interest and some knowledge of Foreign Exchange, Money Markets, financial markets products and monetary policies
  • Proficient in Microsoft Office Suite. Advanced knowledge of Excel and VBA.
  • Dynamic team player who is able to work and communicate with colleagues across regions.

Behavioral Skills:

  • Client - Risk: I strive to satisfy clients while taking into account risks for the company
  • Team Spirit - Synergies: I make cooperation with colleagues in and outside my team a priority
  • Innovation - Technology: I adopt new technologies in the solutions and projects I work on
  • Responsibility - Performance: I strive for high performance
  • Responsibility - Risk awareness: I am constantly on the lookout for risks
  • Commitment - Sustainability: I strive to develop my skills and knowledge

We regret to inform that only shortlisted candidate will be notified.

Business insight

Company Description:

Societe Generale is one of the leading European financial services groups. Founded in 1864, we have been playing a vital role in the economy for over 150 years. With more than 148,000 employees based in 76 countries worldwide, we accompany 32 million clients throughout the world on a daily basis. Based on a diversified universal banking model, the Group combines financial strength with a strategy of sustainable growth.

Our expertise in the Asia Pacific region ranges from Corporate & Investment Banking (Advisory, Financing and Global Markets) to Asset Management, Securities Services, Trade Finance and Cash Management Services. Leveraging on our formidable global footprint, we serve corporates, financial institutions and the public sector. With our regional headquarters in Hong Kong, we operate in 11 countries across Asia Pacific, employing over 6,600 employees. You can find us in Beijing, Seoul, Tokyo, Singapore, Mumbai, Sydney and other locations in the region.

For more information, follow us on LinkedIn @Société Générale or visit our website www.societegenerale.asia.

Department Description:

The Treasury team is responsible for the bank’s liquidity position by providing financing needs to business activities and attracting short term unsecured funding from clients.

Treasury’s function is to ensure a healthy bank’s balance sheet by optimizing the size and composition of the bank’s Asset and Liabilities. The process involved providing competitive prices to clients while maintaining profitability and adhering to various risk limits & regulatory requirements simultaneously.

Diversity and Inclusion

We are an equal opportunities employer and we are proud to make diversity a strength for our company. Societe Generale is committed to recognizing and promoting all talents, regardless of their beliefs, age, disability, parental status, ethnic origin, nationality, gender identity, sexual orientation, membership of a political, religious, trade union or minority organisation, or any other characteristic that could be subject to discrimination.