Job Description
Maybank Securities, a leading brokerage and investment bank with a reach extending across ASEAN, the UK and the US, offers a comprehensive suite of services. These include corporate finance & advisory, navigating debt and equity capital markets, derivatives trading, brokerage and research for both retail and institutional investors, and prime brokerage.
MSSG is looking for a Treasury professional to manage daily cash operations, banking matters, FX exposure, and regulatory reporting, while supporting overall treasury and financial risk management activities.
Job Scope- Handles daily cash management activities including ensuring sufficient funds to meet daily obligation, loan drawdowns, deposit placements and resolving any cash/payment issues
- Manages bank account opening and closure, maintenance of bank account mandate and e-banking access maintenance
- Monitors foreign currency exposure and executes FX deals with banks to hedge the expo...