Manage the money market dealing activities of the bank;
Oversee the bank’s cashflow and liquidity management and formulate funding strategies in accordance with the bank’s asset-liability profile;
Develop and maintain relationship with bank counterparties to optimize funding source;
Ensure official ratios and related liquidity and interest rate risk limits complied with regulatory requirements;
Prepare regular MIS reports for ALCO;
Handle pricing in foreign exchange business and achieve profit through funding activities.
Degree holder with minimum 5 years’ relevant experience of asset and liability management and funding in banking sector;
Good understanding of treasury products and regulatory compliance;
Team player with strong communications skill;
Good command of English and Chinese.