This role supports Blackstone's global treasury platform by executing daily cash management activities and liquidity planning within the Singapore Regional Treasury Center
Job Summary
This role supports Blackstone's global treasury platform by executing daily cash management activities and liquidity planning within the Singapore Regional Treasury Center.
The successful candidate will manage banking relationships, process SWIFT messages, and collaborate with regional finance teams to maintain accurate cash flow forecasts.
Blackstone offers a world-class, technology-enabled environment where employees contribute to high-quality execution across Americas, APAC, and EMEA regions.
Matching Summary
This role supports Blackstone's global treasury platform by executing daily cash management activities and liquidity planning within the Singapore Regional Treasury Center.
Skills & Requirements
Must-have
3+ years Treasury Operations experience
SWIFT messaging standards knowledge
Treasury Management System proficiency
Liquidity forecasting and reporting
Bank account onboarding processes
Nice-to-have
Wall Street Suite experience
Asset management industry background
Chinese or second Asian language skills
Process automation project participation
Strong interpersonal communication skills
Key Requirements
Bachelor's degree required
Minimum 3 years of relevant experience
Proficiency in Microsoft Excel, Word, and PowerPoint