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The Country Corporate Treasury team in Kuala Lumpur supports Balance Sheet Management activities, including Liquidity, IRR, and Capital management. The team ensures disciplined treasury practices and provides independent oversight of liquidity risk management. The Senior Analyst will participate in various responsibilities, including internal liquidity reporting, capital management, variance analysis, coordination with stakeholders, strategic projects, and risk management.
Job Responsibility:
Participate and provide oversight to internal liquidity reporting requirements
Coordinate closely with various stakeholders to ensure compliance with Liquidity risk management guidelines
Involved in Capital management including ICAAP and RRP
Provide variance analysis and commentaries to both regulatory and internal risk reporting
Actively participate and collaborate with key stakeholders on various deliverables including Country ALCO, Funding and Liquidity Plan, Contingency Funding Plan
Provide oversight to Liquidity Operations Manila team to ensure accurate and timely reporting
Responsible for Corporate Treasury EUC inventory reviews, LRR reviews and MCA deliverables
Support Regional and Global Treasury on key and strategic projects
Strengthen overall liquidity risk management and supervision
Support and coordinate with various stakeholders on user testing and rollout planning
Handle ad-hoc initiatives, projects and requests related to treasury, finance and balance sheet management
Appropriately assess risk when business decisions are made
Demonstrate particular consideration for the firm's reputation
Drive compliance with applicable laws, rules, and regulations
Escalate, manage, and report control issues with transparency
Requirements:
At least 5 years of experience in Finance, Treasury or related field
Strong analytical skills
Understanding of financial markets, banking regulations, Basel regulations, liquidity and capital management, and risk management principles
Good working knowledge of assets-liabilities management and balance sheet optimization
Practical experience/strong understanding of liquidity risk reporting such as LCR, NSFR, ILST is highly preferred
Good understanding of transfer-pricing and interest rate risk will be a plus
Proficient Power Point and Excel skills
Seasoned analytical experience is essential
Must possess the ability to apply sound judgment when reviewing output
Critical thinking is essential
Ability to multitask in a fast-paced environment
Strong written and oral communication and interpersonal skills
Ability to interact with all levels of management
Must be a team player
Bachelor’s degree
Nice to have:
Good understanding of transfer-pricing and interest rate risk
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