08 Aug
|
Deutsche Bank
|
Australia
08 Aug
Deutsche Bank
Australia
Deutsche Bank Australia is seeking a Treasury skilled to oversee daily liquidity and funding operations across the Sydney hub. You will manage liquidity pools, deposits, FX and collateral portfolios to meet regulatory requirements.
The role requires a solid quantitative background, experience in treasury or risk management, and the ability to work independently in a global bank setting. A supportive development culture is offered.
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📌 Treasury Markets & Liquidity Manager City Of Sydney (Australia)
🏢 Deutsche Bank
📍 Australia