TREASURY & ALM MANAGER / SENIOR MANAGER
- Well established Licensed Virtual Bank
- Excellent Career Opportunity
Our client is a well established licensed virtual bank. With the continued growth of the organization, the need has arisen to recruit a high calibre candidate to join them.
Support the daily operations for Treasury activities. Perform middle office duties, including trade verification and reconciliation. P&L and risk reporting for treasury portfolio and associated controls. Monitor and identify the bank's liquidity risk, FX risk and market risk exposure. Design and report MIS for treasury daily operations and internal control oversight. Review treasury operational processes regularly to enhance efficiency, and participate in UAT for system enhancement. Assist in developing and maintaining Treasury operating procedures. Support Asset and Liability Management in compiling relevant data and MIS for ALM dashboard, behaviouralisation modeling, liquidity stress factor review, FTP rate update and NIM/NII analysis etc. Enhancing and maintaining ALM framework, related policies and procedures. Ad-hoc tasks facilitation where required.
To be considered, you should be a degree holder in with a minimum of 8 years relevant experience in treasury, asset & liability management, or middle office / operations. Good knowledge of Treasury financial products. Proficient in PC applications including excel and power point, programming skills (e.g. VBA) would be an advantage. Good verbal and written communication skills in English and Chinese (Cantonese and Mandarin).
Interested applicants should send a detailed resume to Kelly Kam by email to email@example.com quoting reference eFC3361.
(Applicants not contacted within 4 weeks should consider their application unsuccessful.)