Overview
This internship offers an opportunity to join the Treasury team of a leading global bank, gaining hands-on exposure to how financial resources are managed at an institutional level. As a Treasury Intern, you’ll support initiatives that optimise liquidity, capital, and balance sheet strategies while contributing to projects that influence decision-making across the organisation. The programme provides a unique perspective on the intersection of financial strategy, risk management, and global markets.
What You’ll Get Out of This Internship
- A 10-week structured summer programme with induction, classroom learning, and technical seminars.
- Hands-on experience in Treasury Markets, supporting balance sheet and liquidity management strategies.
- Guidance and mentorship from managers, peers, and dedicated buddies.
- Exposure to the bank’s operations and decision-making processes through real projects and tasks.
- Opportunities to build professional networks, engage with senior leaders, and contribute to community initiatives.
- A pathway to potential full-time employment following the internship for high-performing candidates.
- Development of analytical, communication, and project management skills in a global, fast-paced environment.
Key Responsibilities
- Support the Treasury Markets team in monitoring, analysing, and managing the bank’s liquidity and capital position.
- Assist in executing regional strategies aligned with the bank’s overall financial objectives.
- Contribute to data collection, reporting, and analysis that informs decision-making and risk management.
- Participate in projects that optimise operational efficiency and support regulatory compliance.
- Collaborate with other teams across the bank to ensure accurate, timely, and effective treasury operations.
Requirements
- Currently in your penultimate year of study in any degree discipline.
- Strong academic performance and involvement in extracurricular activities.
- Analytical mindset with strong attention to detail.
- Effective communication and project management skills.
- Ability to work collaboratively in fast-paced, dynamic environments.
- Permanent legal right to work in Singapore.
- Availability for a summer internship from June to August 2026 and full-time start in July 2027.
Who This Internship Is Ideal For
- Students interested in understanding global treasury operations, liquidity management, and balance sheet optimisation.
- Individuals who want to combine analytical thinking with practical exposure to financial decision-making.
- Those who thrive in collaborative environments and enjoy tackling complex, real-world challenges.
- Candidates looking to build a career in finance, banking, or corporate treasury functions.
About the Company
Standard Chartered is a global banking group with a 170-year history of supporting international trade and economic growth. The bank operates across Asia, Africa, and the Middle East, providing financial services to corporates, governments, and individuals. Its Treasury function ensures effective management of the bank’s liquidity, capital, and risk while supporting the wider business with data-driven insights and operational excellence. The organisation values diversity, inclusion, and continuous learning, fostering an environment where employees can grow and contribute meaningfully.
Internship Details
- Programme: Treasury Internship Programme 2026
- Location: Singapore
- Work Arrangement: Hybrid
- Duration: 10 weeks (Summer 2026)
- Employment Type: Internship
- Assessment Centres: From November 2025
- Start Date: June 2026
- Eligibility: Penultimate-year students with permanent work rights