INTERNSHIP DETAILS

Treasury Front Office Intern

CompanyDeutsche Börse Group
LocationSingapore
Work ModeOn Site
PostedSeptember 10, 2026
Internship Information
Core Responsibilities
The intern will support cash management, investment activities, and liquidity management tasks within the Treasury Front Office. They will also assist with automation and data analytics initiatives while engaging with internal and external stakeholders.
Internship Type
full time
Company Size
31
Visa Sponsorship
No
Language
English
Working Hours
40 hours
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About The Company
Deutsche Börse Group has concentrated all its cash market business in Deutsche Börse. It organizes one of the leading cash markets in Europe and offers companies, brokers and investors access to the German, European and international capital markets. Our product portfolio and services cover the admission of securities to trading – according to recognized rules and in customized market segments. In the form of Deutsche Börse Xetra® and Deutsche Börse Frankfurt we operate two of the world’s most renowned trading platforms where prices are determined on the exchange and, thanks to the Central Counter Party (CCP), with minimum default risk for stock and bond transactions. Deutsche Börse champions regulated and transparent markets that enable efficient, safe and fair securities trading. We provide solutions for efficiently raising and allocating capital, in this way laying important foundations for the real economy. Through this commitment, we make a valuable contribution to ensuring the exchanges fulfil their macroeconomic role. Privacy policy: https://www.cashmarket.deutsche-boerse.com/cash-en/privacy-notice Imprint: https://www.cashmarket.deutsche-boerse.com/cash-en/imprint
About the Role

Division/section

Clearstream Banking, Treasury Front Office (APAC)

Fields of Activity

In Treasury Front Office we are responsible for the Cash Management and Investments of the Bank. We operate in line with the Group Investment and Liquidity management policies. We regularly update our processes in line with the relevant regulations. We engage with Global Banks as our key partners and providers.

Tasks/Responsibilities

  • Learning the principles of cash management and investments in a FMI (Financial Markets Infrastructure) Custodian Bank.
  • Engaging with platforms linked to Treasury activities (proprietary and third party).
  • Organizing, documenting, and participating to meetings with internal and external stakeholders.
  • Preparing and executing daily, monthly Liquidity Management tasks.
  • Support Automation and Data Analytics initiatives in Treasury Front Office.
  • Support the team in any ad hoc tasks where possible.

Required Skills/Qualifications

  • Pursuing a degree in economics/finance or related field.
  • Proficiency in written and spoken English with focus on clear and concise written and verbal communication.
  • Strong understanding of basic investment instruments (Stocks, Bonds, ETFs, etc).
  • Advance analytical and numerical competency.
  • Effective interpersonal skills to develop and maintain relationships with internal and external stakeholders.
  • Coding and data analytics proficiency (VBA, PowerBi, Python).
  • Project Management skills are a plus.


Internship Period:
Dec 2026 - June 2027

Key Skills
Cash ManagementInvestment ManagementLiquidity ManagementData AnalyticsAutomationVBAPowerBiPythonFinancial AnalysisInvestment InstrumentsStakeholder ManagementProject ManagementCommunicationNumerical Competency
Categories
Finance & AccountingData & AnalyticsManagement & Leadership