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Support the Bank's fixed income investment research function by providing macroeconomic, credit, and market insights to support investment decisions, portfolio management, and business growth.
Job ID: 153687313
Skills:
commercial business partnering, Financial Modelling, Forecasting, Strategic Planning, budgeting
Skills:
wire transfers , Cash Flow Positioning, Hedging Strategy, Treasury System Improvements, Interest Rate Structure, Cash Management, Banking Transaction Regulations, Cash Settlements, FX Exposure Hedging, Risk Management, Microsoft Office Excel, Reconciliation of Cash Balances, treasury functions, Global Cash Management Policies, Loan Drawdowns
Skills:
Uat, Advanced Excel, KYC documentation, Liquidity monitoring, E-banking access, FX activities, Cash positioning, Intercompany funding, Cross-border cash movements, Bank account administration, Short-term cash forecasting
Skills:
Oracle NetSuite, Bank Debt Financing, Treasury Operations, Working Capital Management, Financial Modelling Analysis, Stakeholder Management, CargoWise, Cashflow Forecasting
Skills:
Microsoft Excel, working capital optimisation, Liquidity Management, financial scenario analysis, ERP systems, Cash Flow Forecasting, Financial Modelling, CargoWise, banking relationships, trade finance instruments