HEAD OF ALM AND LIQUIDITY – TREASURY recruitment

Job Description :

• Responsible for the Bank’s asset and liability management and funding activities including planning and setting policies and guidelines for managing the Bank’s funding book.

• Monitor the trading activities in Treasury and manage the Fixed Income portfolio.

• Define the investment strategy and monitor the trading position.

• Manage bank lines of credit, control and manage the Bank’s cash and liquidity positions.

• Efficiently deploy the working capital and manage the capital funds.

• Maintain and review the investment book to balance in market risk and income along the Bank’s guideline.

• Effectively manage the Liquidity of the Bank in order to meet the local regulatory requirements and the Bank’s guidelines.

• Regular meeting with the Finance Team and update the ALCO on Assets and Liabilities Management, Balance Sheet , Market liquidity position, and Working Capital situation.

Job Requirement :-

• Degree in Finance, Business Administration or related disciplines

• Minimum 15 years’ experience in Treasury, Assets and Liabilities, Money Market (Fixed Income Desk). 

• With a full membership of Treasury Markets Association (TMA) preferably.

• Sound knowledge on treasury management including ALM, liquidity management and capital planning

• Practical investment experience in Global Market.

• Working knowledge on HKMA guidelines and relevant regulatory requirements including Basel III requirements.

• Good communication skills and interpersonal skills

• Proficiency in written and spoken English and Mandarin.

For interest parties, please send e-mail to application@sloaneasia.com and copy to anita.lam@sloaneasia.com , attaching your updated C.V. in word format indicating your present and expected salary and quoting Ref: TH/ALM/LIQ.

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