Keep the company details registration to the bank updated on regular or ad-hoc basis
Requirements
Degree in business / finance / accountancy with good academic record,
Fresh graduate welcome or < 2 years experiences in corporate treasury in multinational company.
Alternatively, same years experiences in commercial banking as a relationship manager or cash management sales.
Strong sense and interest in treasury, cash & liquidity management finance / financial markets in general.
Independent self-starter with problem solving mindset.
Good business communication skills as must, including negotiation skills with internal / external stakeholders.
Very much detail oriented in nature.