Key Responsibilities
You will:
- Perform in-depth analysis of liquidity management, interest rate and FX risk for APAC region
- Perform balance sheet management, cashflow projections to ensure robust financial position of the Bank
- Participate in strategic regional projects relating to ALM, liquidity risk and recovery planning
- Develop and implement Fund Transfer Pricing strategies (FTP), identify opportunities for liquidity risk management and fund raising
- Identify key drivers of P&L, source of funds and recommend actions to senior management
- Evaluate and implement policies and procedures to ensure satisfactory regulatory requirements
- Assist in ad hoc regional strategic projects
Requirements
- Degree holder in Finance, Economics, Risk Management or related discipline
- Qualifications in FRM or CFA is an advantage
- Minimum 6-8 years solid experience in ALM, liquidity/ capital management, balance sheet management, liquidity risk or related field
- Excellent communication and presentation skills, comes with a proactive attitude, and a strong team player
- Proficient in Excel and PowerPoint
- Good command of written and spoken English
How to Apply
If you are interested in the above position, please apply or share your updated CV to mchak@optionsgroup.com