Job Description

Blackstone is the world’s largest alternative asset manager. We seek to create positive economic impact and long-term value for our investors, the companies we invest in, and the communities in which we work. We do this by using extraordinary people and flexible capital to help companies solve problems. Our $ trillion in assets under management include investment vehicles focused on private equity, real estate, public debt and equity, infrastructure, life sciences, growth equity, opportunistic, non-investment grade credit, real assets and secondary funds, all on a global basis. Further information is available at . Follow @blackstone on , and .
 

Global Function:

As part of Blackstone’s Global Finance organization, our mandate is to deliver a world‑class, technology‑enabled platform that supports the firm’s investment, liquidity, and risk management activities at scale. The function encompasses Treasury Operations, Finance, Technology, Analytics, Accounts Payable, and Procurement Operations, working together to provide seamless support for Blackstone’s global businesses.

Blackstone’s Treasury Operations teams are based in three Regional Treasury Centers (RTCs) — New York, Singapore, and London — providing comprehensive Treasury coverage across the Americas, APAC, and EMEA. The Singapore RTC is fully integrated into the firm’s global Treasury operating model and plays a key role in delivering ‘follow‑the‑sun’ coverage, ensuring consistent processes, standardized controls, and high‑quality execution across the firm’s global platform.

Responsibilities:

Reporting to the Singapore‑based Treasury Manager, the Treasury Analyst/Associate will be a key contributor within Blackstone’s Singapore Regional Treasury Center (RTC). The individual will work closely with Finance teams across Singapore and Asia to support day‑to‑day Treasury activities, liquidity planning, and regional banking operations.

Cash Management Operations

  • Execute daily cash management activities, ensuring timely and accurate payment processing using the firm’s global Treasury Management System.

  • Monitor account balances, initiate daily sweeps, and support optimal liquidity usage across regional entities.

  • Serve as a primary Treasury contact for regional banking partners and collaborate with internal teams on cash and payment matters.

  • Support the processing of cash, derivatives, and investment transactions.

  • Review SWIFT (SAA, FIN, ISO, FileAct) messages and assist with issue resolution.

  • Maintain accurate static data, including settlement instructions and banking details.

  • Partner with internal stakeholders and external banks to resolve payment queries efficiently.

Liquidity Management

  • Support the preparation and review of liquidity reports to inform short‑term funding needs.

  • Maintain monthly cash flow forecasts in partnership with regional Finance teams and Global Treasury.

  • Assist with monitoring liquidity requirements and regulatory thresholds.

  • Prepare dashboards and reporting materials for senior management reviews.

Banking Relationship Management

  • Coordinate KYC and periodic documentation updates with banking partners.

  • Support the onboarding of new banking counterparties, including preparation of documentation and participation in service setup.

Projects and Technology

  • Participate in regional and global Treasury initiatives, including process enhancement and automation projects.

  • Support system enhancements, testing, and user adoption for Treasury platforms.

  • Manage bank portal access and entitlements where required.

Qualifications, Experience, and Skills:

  • Hands‑on experience with a Treasury Management System and SWIFT‑based payment workflows.

  • Working knowledge of SWIFT messaging standards.

  • Experience preparing liquidity or cash flow reports for internal management.

  • Familiarity with bank account onboarding processes and documentation.

  • Ability to learn new systems and processes quickly and effectively.

  • Strong organizational skills and ability to operate under time‑sensitive deadlines.

  • Effective communicator with strong interpersonal skills, able to work collaboratively across teams.

  • High level of integrity, accountability, and attention to detail.

  • Experience with Wall Street Suite or involvement in Treasury system initiatives is a plus, not required.

  • Prior exposure to asset management or financial services is a plus.

  • Strong proficiency in English. Proficiency in Chinese/2nd Asian language will be advantageous.  

  • Strong proficiency in Microsoft Excel, Word and PowerPoint.


The duties and responsibilities described here are not exhaustive and additional assignments, duties, or responsibilities may be required of this position.  Assignments, duties, and responsibilities may be changed at any time, with or without notice, by Blackstone in its sole discretion.


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