Head of Treasury (Tokyo)(Ref.no:TH-I/DK180112) recruitment
As a successful hire in the role, you will have oversight of in-country interest rate gap risk on bank and broker dealer balance sheet and manage funding, liquidity and capital. Working closely with International Corporate Treasury, Country CEO and lines of business you will be involved in Balance sheet management and capital management and optimization. You will chair the group Asset Liability Committee and Liquidity Risk Committee as well. The role requires you participate in new product review, approvals relating to 3rd party distribution and be a core member of the key leadership and governance forum of the business.
To be eligible for this role you must have atleast 12-15years of experience within markets and treasury trading with thorough knowledge of relevant instruments- money markets, FX spot and forwards, currency and interest rate swaps, bonds markets, issuance and funding programs. Strong knowledge of banking operations and the regulatory environment ideally in Japan or region is essential. You must have excellent communication skills and proven leadership skills of managing a team of trading and funding personnel. Experience across both banks and securities a distinct advantage. Fluent written and spoken English is a must, Japanese an advantage.
If you are interested in this job, please email your resume and your present and expected salary to Devi Kumar, enquiries@charterhouse.com.hk Tel: (852) 3151 1302 Web: www.charterhouse.com.hk