HW3 · 1 day ago
Commercial Banking Analyst – Liquidity & Treasury Operations
Responsibilities
Support daily liquidity and funding reporting
Collect, organize, and analyze financial data for internal reports
Prepare and maintain reports using Excel
Follow established banking policies and procedures to ensure accuracy and compliance
Assist with treasury and liquidity-related operational tasks
Work closely with team members to ensure timely and accurate deliverables
Qualification
Required
Bachelor's degree (Finance, Economics, Business, or related field preferred)
Exposure to commercial banking concepts (treasury, liquidity, funding, or similar)
Basic understanding of liquidity and funding management principles
Strong Excel skills (report preparation, data collection, basic analysis)
Comfortable with routine operational reporting and structured processes
Experience with data collection and analysis
Detail-oriented, dependable, and eager to learn
Preferred
Mandarin proficiency (strongly preferred, bilingual candidates highly valued)
Background in: Treasury operations
Background in: Liquidity and funding
Background in: Financial analysis or economics
Strong teamwork mindset with a proactive, hard-working attitude
Company
HW3
HW3 is a global recruitment consultancy that offers staffing and recruitment services within regulated industries.