Senior VP/Director Roles- Capital & Liquidity Management recruitment
Responsibilities:
- In charge of the successful implementation of strategic initiatives, enhancing the MI produced and further educating our business partners.
- Apply the Regulatory framework around stress testing on a local entity basis. Assist in the rolling out of daily stress testing across the region. Concentrate efforts around transparency and correct treatment of flows creating the greatest drag on the individual liquidity pools.
- Look to ensure that the framework is always working towards governing the appropriate impact of liquidity. Ensure appropriate levels of engagement and understanding in key Treasury initiatives, including Transfer Pricing, Economic Funding, Collateral Efficiency, Strategic Reporting Platform and Structured Notes.
- Work with country Treasurers and local staff with regards to Regulatory Requests, Group Conformance Reviews and External review process.
- Providing training and support in Liquidity space in conjunction with the Country Treasurers Model. Work with country treasurers and the business to increase the awareness of Liquidity Risks in the bank to broader infrastructure audiences through relationships and training of other teams.
- Work with country Treasurers and local staff with regards to Regulatory Requests, Group Conformity and External review process.
- Work with Business and Liquidity Manager to review and monitor balance sheet assets and liability management.
- Work with Business and Liquidity Manager to identify and execute Liquidity optimizations.
- Ensure adoption of all Group Treasury policies and procedures regionally. Where policy needs to be amended to suit local market convention, ensure this is documented and approved on a global basis through the correct governance channels.
- Attend country ALCOs to review and discuss Liquidity matters and review Finance MIS.
- Contribute to regional Treasury Committee and attend/ present where necessary.
- Work with Business Heads and Country Treasurers leads to ensure entity compliance with external and internal liquidity requirements.
- Assist in the preparation of breach reports and monitor breach resolution.
- Work with global colleagues to ensure a globally consistent framework.
- Work with Business Heads and Country Treasurers leads to cover the New Product Process and ensure the liquidity impacts are covered.
Requirements:
- University graduate and qualified accountant
- Investment banking experience
- Understanding and working knowledge of regulatory rules (FSA preferred) and Basel III framework
- At least 10Years post qualification experience of working in treasury related roles within a financial institution
- Direct treasury experience
- Practical understanding of the workings around a sound liquidity governance framework
- APAC regulatory knowledge preferred
- Front office funding experience preferred
Should you be interested in applying for this role, please contact Valerie Garcia on +65 6671 3354 or via email: valerie.garcia@tom.net.au
April 25, 2011
• Tags: Accounting & Finance careers in the Singapore, Director Roles- Capital & Liquidity Management recruitment, Senior VP • Posted in: Financial