Execute and process all treasury back‑office transactions including money market deals, FX transactions, interbank placements, borrowings, and investments in accordance with approved limits and procedures.
Perform deal confirmation, settlement, and reconciliation of treasury transactions with counterparties, correspondent banks, and custodians.
Ensure timely settlement of cash flows related to treasury operations, minimizing settlement risk and potential financial loss.
Maintain accurate treasury accounting entries, including posting of deals, interest accruals, amortization, and revaluation in the core banking or treasury systems.
Reconcile Nostro, Vostro, and internal treasury accounts, investigate discrepancies, and resolve outstanding items promptly.
Prepare and submit daily, weekly, and monthly treasury reports such as liquidity position, cash flow statements, maturity profiles, and deal summaries for management review.
Support compliance with regulatory requirements, internal policies, and risk management guidelines, including AML/CFT and counterparty exposure limits.
Coordinate closely with Front Office, Middle Office, Finance, Risk Management, and Operations teams to ensure smooth treasury operations.
Assist in statutory, internal, and external audits by providing accurate documentation, confirmations, and transaction records.
Monitor and maintain proper documentation for treasury transactions including confirmations, contracts, correspondence, and regulatory submissions.
Identify process gaps and contribute to operational efficiency improvements, automation initiatives, and system enhancements.
Support system testing, UAT, and implementation of new treasury products or upgrades to treasury systems.
Supervise and guide junior staff, ensuring adherence to operational procedures and service standards.
Handle correspondence with counterpart banks, brokers, and regulators related to treasury settlements and confirmations.
Ensure strict compliance with segregation of duties, internal controls, and operational risk management practices.
Job specification
Bachelor’s degree in Finance, Accounting, Business Administration, Economics, or Banking.
Proficiency in MS Excel, Word, and data analysis/reporting tools.
Working knowledge of treasury systems, core banking systems, or TMS.
Excellent interpersonal, effective communication skills and strong negotiation skills
Knowledge of treasury settlement processes, deal confirmations, and cash flow management
Proficiency in MS Office, written and spoken English & Myanmar Language
Ability to guide junior staff, review their work, and ensure procedural compliance