Be at the heart of critical payment and liquidity operations that support the firm’s strength and resilience. Bring your analytical skills and controls mindset to a role where speed, accuracy, and client experience matter every day. You will work with partners across Treasury, operations, and change teams to solve real-world challenges and improve how work gets done. This is an opportunity to grow your expertise while contributing to meaningful outcomes for our clients and communities.
As a Payment Lifecycle Analyst in the Cash Asset Management team, you will support daily cash operations by monitoring intraday liquidity, executing funding activity, managing exceptions, and completing reconciliations in a deadline-driven environment. You will support timely funding decisions and cash forecasting by analyzing line of business inflows and outflows. You will investigate breaks, resolve payment issues, and communicate status and risk clearly to stakeholders. You will contribute to process improvements, testing, and resiliency activities that strengthen controls and service delivery.
Job responsibilities:
Required qualifications, capabilities, and skills:
Preferred qualifications, capabilities, and skills:
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