Portfolio Senior Manager – Singapore Treasury

Cobbenefitfair

Singapore, Singapore
**
Manage securities and derivative markets
Deliver portfolio reporting and forecasting
Leverage ai-driven tools and analytics
** Cobbenefitfair is seeking a Portfolio Senior Manager for their Singapore Treasury team to enhance the management of the Singapore portfolio through market engagement and analytical expertise. The ideal candidate will have significant experience in funding markets and treasury operations, with a focus on optimizing portfolio performance and ensuring compliance with regulatory standards. **

Job Summary

  • The Chief Investment Office (CIO) is a global team within Group Treasury responsible for managing the Group’s non traded market risks and investment of the CBA Group’s liquid assets.
  • As a Portfolio Senior Manager Treasury, 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.
  • 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: 75

** Cobbenefitfair is seeking a Portfolio Senior Manager for their Singapore Treasury team to enhance the management of the Singapore portfolio through market engagement and analytical expertise. The ideal candidate will have significant experience in funding markets and treasury operations, with a focus on optimizing portfolio performance and ensuring compliance with regulatory standards. **

Skills & Requirements

Must-have

  • Manage securities and derivative markets
  • Deliver portfolio reporting and forecasting
  • Leverage AI-driven tools and analytics
  • Oversee liquidity and funding positions
  • Adhere to Group Treasury framework
  • Demonstrate strong risk culture

Nice-to-have

  • Drive sustainable business growth
  • Commitment to continuous enhancement
  • Strong external market engagement
  • People leadership responsibilities

Key Requirements

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

Work Rights

Not specified

Tailored Resume

Cover Letter