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Associate, Treasury Markets

Standard Chartered Singapore

singapore, singapore, Singapore Full-time June 13, 2026
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Opportunity Description

Job Summary

The jobholder will be responsible for management of the Bank’s liquidity in various currencies under the oversight of other Senior managers. A key responsibility is to ensure the Bank is well funded while regulatory requirements are efficiently complied with.

Key Responsibilities
  • Responsible for cash and liquidity management in 10+ currencies by dealing in swaps, repos, interbank, intragroup, and other money market products.
  • Participate as a Primary Dealer in MAS money market operations.
  • Manage liquidity risk within limits (both internal and regulatory) while driving overall balance‑sheet profitability.
  • Keep abreast of market conditions and suggest funding and/or deployment ideas, as appropriate.
  • Use AI to enhance balance‑sheet modelling and analysis to communicate and capture potential opportunities.
  • Understand and monitor key P&L drivers for Treasury Markets and drive Bank RoTE.
  • Full-time Other-General

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