int(12915)
Singapore, Singapore

VP, Treasury Funding (International Bank)

Our client, a leading global banking institution with a significant international markets presence, is looking to hire a Vice President within its Treasury Funding team in Singapore. This role is responsible for managing the firm’s liquidity, funding and balance sheet positioning across Asia Pacific during Asia trading hours.

The position combines treasury markets execution with balance sheet optimisation and stakeholder engagement across regional and global teams. The successful candidate will play a key role in managing funding across major currencies, executing treasury transactions, and supporting strategic initiatives as the organisation continues to expand its Asia franchise.

Please contact Michael Durkin – email your cv directly in word format with job reference no. JOB-16200 to michaeldurkin@theedgepartnership.com

Please note that due to the high number of applications only shortlisted candidates will be contacted. If you do not hear from us in the next 5 business days we regret to inform you that your application for this position was unsuccessful.

EA License: 16S8131
Recruiter License: R2090716

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Key responsibilities

  • Manage liquidity and funding across APAC entities, ensuring the firm maintains a robust and efficient balance sheet under internal and regulatory frameworks.
  • Execute treasury market transactions including money market instruments, repo, FX spot and swaps, and interest rate swaps to support funding, liquidity and structural hedging activities.
  • Raise unsecured funding in international money markets while optimising funding costs across currencies.
  • Monitor global macroeconomic and market developments to inform funding strategy, risk positioning and treasury decision-making.
  • Partner closely with regional and global treasury, risk, finance and business stakeholders to ensure alignment on funding and liquidity strategy.
  • Lead and contribute to regional treasury initiatives while providing guidance and leadership within the team.

Role requirements

  • 10+ years experience managing liquidity and funding across G3 and other major international currencies (i.e. USD, EUR, GBP, JPY) within a bank treasury, markets or balance sheet management environment.
  • Strong product knowledge across money markets, repo, FX swaps and interest rate derivatives, with experience executing treasury market transactions.
  • Demonstrated leadership capability with experience mentoring colleagues or leading workstreams within a treasury or markets team.
  • Excellent stakeholder engagement skills with the ability to collaborate effectively across treasury, business and control functions.