Full-time Posted June 07, 2026
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Job Description

Responsibilities
  • Ensure smooth settlement of daily operations for financial products such as deposits, FX, borrowings & adherence of counterparty limits
  • Manage and monitor inter-company loans for computation of interests and loan settlement
  • Responsible for the Group’s month end activities and reconciliations for financial products such as valuations, hedge accounting for FX & borrowings, etc
  • Perform closing for Treasury Centre which includes management reports for monitoring and analysis, corporate tax and GST filings
  • Provide hedge accounting advice and queries to support stakeholders
  • Ensure the accounting for financial products are in compliance with the relevant accounting standards
  • Assist with administration for banking operations (account opening, authorised signatories update) and system controls for Treasury Management System
  • Participate and support in the Group’s initiatives and ad hoc project...

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