Head of Treasury
Trust Bank(1 month ago)
About this role
The Head of Treasury and Balance Sheet Management is a senior leadership role reporting to the CFO and serves as a key trusted advisor on treasury, balance sheet and regulatory matters. The role represents the bank in regulatory interactions with MAS, ensures strong governance over capital and liquidity frameworks, and supports the organisation’s financial resilience. It also provides strategic direction for treasury technology, reporting and transformation to enable effective balance sheet management.
Required Skills
- Funding
- Liquidity
- Cash Management
- Investments
- Balance Sheet
- Risk Controls
- Regulatory Compliance
- Treasury Systems
- Stakeholder Management
- Treasury Markets
+8 more
Qualifications
- CMFAS Certification
- Singapore Financial Markets Regulatory Practices Certification
About Trust Bank
truist.comTruist is a U.S. bank and financial services company formed from the merger of BB&T and SunTrust that serves consumers, small businesses, and commercial clients. It offers checking and savings accounts, credit cards, mortgages, personal and business lending, wealth management, and commercial banking solutions across branch and digital channels. Truist emphasizes technology-enabled banking and a broad product suite to support everyday banking, borrowing, and financial planning needs.
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