Portfolio Senior Manager – Singapore Treasury

Txcba

Singapore, Singapore
Not specified (suggested: hybrid)
Market-facing execution
Balance sheet portfolio risks
Liquidity and funding settings
Txcba is seeking a Portfolio Senior Manager for their Singapore Treasury team to oversee strategic portfolio enhancements, manage market engagement, and ensure compliance with risk frameworks. The ideal candidate should have extensive experience in market-facing roles, particularly in Treasury or banking environments, and possess strong analytical and leadership skills

Job Summary

  • You will play a critical role in the strategic enhancement of the Singapore portfolio, combining market-facing execution across money markets, FX, credit, rates and derivatives with deep analytical and balance sheet expertise.
  • You will drive high-quality market engagement, ensure best execution within the Group’s risk and governance frameworks, and contribute to portfolio optimisation, liquidity management, and sustainable returns on capital.
  • The role demands strong external engagement with market counterparties, a commitment to continuous process and technology enhancement—including AI-enabled tools—and the ability to deliver insights that shape portfolio strategy and support Group Treasury priorities.

Matching Summary

Match Score: 85

Txcba is seeking a Portfolio Senior Manager for their Singapore Treasury team to oversee strategic portfolio enhancements, manage market engagement, and ensure compliance with risk frameworks. The ideal candidate should have extensive experience in market-facing roles, particularly in Treasury or banking environments, and possess strong analytical and leadership skills.

Skills & Requirements

Must-have

  • Market-facing execution
  • Balance sheet portfolio risks
  • Liquidity and funding settings
  • Money markets, FX, credit, rates
  • Derivatives expertise
  • Risk and governance frameworks
  • External engagement with market counterparties

Nice-to-have

  • Ongoing professional development
  • Sustainable business growth
  • AI-enabled tools
  • Continuous process enhancement
  • Strong risk culture
  • Disciplined risk mindset

Key Requirements

  • 6–10 years' experience
  • Tertiary qualifications in Finance, Economics, Mathematics or Business
  • Experience in Treasury, Bank, or Funds Management
  • Advanced modelling and analytical skills
  • Experience in AI agent development or automation solutions
  • Proficiency with core Treasury and Markets systems
  • Demonstrated people management experience

Work Rights

Not specified

Tailored Resume

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