Description
Associate, Liquidity Management, Treasury Markets
Post at Standard Chartered Singapore. Job Summary
Standard Chartered Bank Treasury Markets (TM) business is looking for a Dealer to join their Liquidity Management team in Singapore. Treasury Markets is part of the broader Treasury function and is responsible for interest rate and liquidity risk management. As a front office function the team directly faces the market combining an in-depth knowledge of financial markets and balance sheet management, while managing the requirements of profitability and good risk management. In this role, the successful candidate will be exposed to a highly dynamic area of Standard Chartered Bank, will have the opportunity to deal in financial markets instruments while gaining a deeper understanding of liquidity and balance sheet management. The role will provide the successful candidate with exposure to the broader Treasury community, as well as the Bank’s commercial businesses. Responsibilities
Responsible for cash and liquidity management in 10+ currencies by dealing in swaps, repos and interbank cash. 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 trade ideas as appropriate. Enhance balance sheet 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. Strategy & Business
Estimate and plan for internal funding and deposit taking requirements of other units of the Bank. Liaise with other business units to obtain the best possible view of asset pipelines and forecast liability generation. Communicate funding requirements / excess liquidity position with the Local Head of Liquidity. Ensure adherence to regulatory requirements and internal liquidity metrics. Determine the level of marketable security holdings to facilitate payments within the local RTGS system. Raise a flag to senior management on any concerns over the Bank’s capacity to meet projected funding requirements. Risk Management
Provide oversight to Treasury Markets Analytics in MCO, Wholesale Borrowing, Stress test, MTF and swapped funds guideline. Flag potential liquidity and credit limit issues to LM Manager and HoTreasury Markets, Singapore. Assist in requesting temporary and permanent limits where appropriate. Governance & Regulatory & Business Conduct
Understand and act on the Country Liquidity Contingency Plan. Develop and maintain relationships with standby and emergency liquidity sources. Actively monitor and alert senior management on funding stress. Display exemplary conduct and uphold the Group’s Values and Code of Conduct. Key Stakeholders
Internal : Treasury teams, Risk, Compliance, Business stakeholders, CEOs, CFOs, COOs, ITOs. External : Clients, local regulators, other government departments, competitors. Other Responsibilities
Embrace “Here for good” and the Group’s brand and values in ASEAN and Singapore Treasury-Markets team. Perform responsibilities assigned under Group, Country, Business or Functional policies and procedures. Our Ideal Candidate
3+ years experience in money markets or related field. Degree holder in Finance, Maths, Engineering or similar. Complete required mandatory & developmental training, role specific, and regulatory / compliance bank wide. Licenses as per local regulatory requirements. Certifications per local and global regulatory requirements. Role Specific Technical Competencies
Highly motivated, able to work independently, comfortable with ambiguity, multitask effectively in a fast paced environment. Strong analytical and problem-solving skills, proficient in data analysis; Python / VBA desirable. Strong communication skills and ability to liaise with a broad range of stakeholders. Knowledge of financial market products, including money markets and fixed income instruments. 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. If you're looking for a career with purpose, we want to hear from you. What We Offer
Competitive salary and benefits in line with Fair Pay Charter. Core bank funding for retirement savings, medical and life insurance. Time‑off : annual leave, parental / maternity (20 weeks), sabbatical (12 months max), volunteering leave (3 days). Minimum global standards for annual and public holiday, combined 30 days. Flexible working options around home and office. Wellbeing support through Unmind, Employee Assistance Programme, mental health first-aiders. Continuous learning culture with reskilling, upskilling, and access to physical, virtual and digital learning. Inclusive, values-driven organisation celebrating diversity across teams and geographies. Recruitment Assessments
Some of our roles use assessments to help us understand how suitable you are for the role. If you are invited to take an assessment, this means your application has progressed. Visit our careers website Seniority level
Entry level Employment type
Full-time Job function
Finance and Sales Industries
Banking #J-18808-Ljbffr Industry
Other Category
Management & Operations Sub Category
Operations & Business Administration
Management Associate • Singapore, Singapore