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The Chief Financial Office (CFO) The CFO at Blackstone comprises of Finance, Internal Audit, Risk Management, Treasury and Tax functions. International Finance manages the financial, regulatory and tax reporting requirements of all Blackstone Group entities based outside the US. International Finance is based in London, Hong Kong, Shanghai, Mumbai, Singapore and Tokyo. Our vision is to be:
Flawless at Control
Value-add Business advisors
Within the CFO organization resides the Treasury group, and the Treasury Operations teams are located in three Regional Treasury Centres ("RTC") - New York, Singapore and London. The Singapore RTC is integrated into Blackstone's global Treasury operations, supporting global processes under the 'follow-the-sun', 'one platform, one process' operating model. The purpose of the group is to provide cash management/liquidity, bank account maintenance and FX execution support for all the businesses in the region. The Singapore Regional Treasury Centre currently utilizes a robust Treasury Management System ("TMS") to centralize the payment processing function for the region, and will also continuously seek opportunistic investments that preserve liquidity while optimizing returns.
Responsibilities The candidate will be supporting the team's operations across a wide spectrum of Treasury Operations functions. Specifically, the individual will be fully/partially responsible for:
Working with the team to ensure the timely execution of payments adhering to strict cut-off times for corporate and fund level activities
Monitor account balances in lieu of the above and execute recommended daily sweeps
Primary contact with the banks, international Treasury counterparties, and finance groups and deal teams for Blackstone's various corporate and investing businesses
Provide middle and back office support for cash, investments and FX onboarding and settlements
Monitoring and review of SWIFT (SAA), FIN & Fileact Messages
Static data maintenance, as well as creation, authorization and release of payments via the TMS system
Liaising with and managing internal clients and external banks on all payment matters
Graduate with 2-4 years' of experience in a Corporate Treasury/Cash Management function at a multinational corporation or financial institution
Good understanding of the Swift payment network and Swift message formats relating to cash and cash reporting
Possess exposure to or knowledge of middle/back office operations as well as understanding of financial instruments
Experience in supporting FX/Fixed Income/Derivative products through the pre/post-trade process
Experience in Management Reporting
In-depth experience using a Treasury Management Workstation - previous experience using Wall Street Suite Treasury Management System is a significant plus
Highly proficient in Microsoft Excel
Strong interpersonal and communication skills both written and verbal
Attention to detail and control minded
Quick learner, able to prioritize and multitask where required
Ability to work in a fast paced environment
Eager to learn and must operate with the highest level of integrity and trustworthiness
Good team player who excels in a team-first environment
Previous experience with an alternative asset management company or other asset management company is a plus
Some experience in opening bank accounts and preparation of AML/KYC bank account documentation