Associate, Remittance, Deposit & Treasury Operations (1 Year Contract)
Mizuho
SingaporeInternship20 Jul 2026
About this internship
Overview Of Division/Department
Our Remittance, Deposits & Treasury Ops (RDT), a member of our Singapore Administration Department is responsible for processing customers and interbank transactions; such as remittances, foreign exchange, derivatives, securities, time deposits, structured deposits, domestic transactions and settlements.
Additionally, RDT also handles opening of account, online banking, cash pooling/sweeping, issuance of Certificate of Balance and Mark-to-Market.
The section comprises the Remittance Team, Deposits Team & Treasury Team
About Us
Mizuho Bank is the banking subsidiary of Mizuho Financial Group, which is headquartered in Tokyo, Japan. Mizuho Financial Group, Inc. is the 15th largest bank in the world, as measured by total assets of approximately US 2 trillion. Mizuho's 55,000 employees worldwide offer comprehensive financial services to clients in over 800 offices throughout the Americas, EMEA, and Asia.
Mizuho Bank Singapore Branch has an established local presence with over 50 years of history and serves as the regional hub for the bank's APAC operations.
Operating with a Full Bank License, Mizuho Bank Singapore Branch provides banking services to over 2,000 Japanese and non Japanese corporate clients, with a staff strength of about 1,000 employees. We provide expertise in corporate finance, trade finance, cash management, funds transfers, project finance, and treasury services to help businesses develop and find new opportunities. We also collaborate with our affiliate company, Mizuho Securities, to provide investment banking solutions to our clients.
Auto req I
2059BR
Department
Singapore Administration Department
Section
Remittance, Deposits & Treasury Operations
Location
Singapore
Job Responsibilities
Handle day-to-day transactions on over-the-counter derivatives products
Process / Approve treasury transactions
Liaise with business units; especially Treasury Front Office on derivatives related
Validate trade deals and send confirmation to counterparty
Manage brokerage control fees from brokers
Prepare and dispatch SWIFT payment, Deal/Settlement Confirmation
Perform investigations and reconciliations
Participate in system testing, project initiation and implementation
Job Requirements
Experience in treasury back operations such as FX, Money Market, Trading, Securities, Derivatives
Familiarity with treasury regulations
Knowledge of SWIFT messages
Knowledge of RPA script writing using UiPath, Python, etc (added advantage)
Able to multi-task across functions
Interpersonal and communication skills
Excellent team player