Treasury Manager - Retail and Corporate Banking
- Recruiter
- Michael Page
- Location
- Hong Kong
- Salary
- Competitive salary
- Posted
- 02 Oct 2020
- Closes
- 02 Nov 2020
- Ref
- 8390842
- Job role
- Treasury
- Sector
- Accounting - Public practice
- Experience level
- Manager
About Our Client
My client is looking for a Treasury manager to join their treasury team covering retail and corporate banking
Job Description
Reporting to team head, you will be responsible to:
Manage cashflow, liquidity and interest rate risk for the Bank and to ensure all key risk indicators are in compliance with internal limits and regulatory requirements;
Perform inter-bank lending/borrowing, fx swap & interest rate derivative transactions dynamically in accordance to the bank's asset-liability position;
Explore business opportunities and advise strategies to maximize revenue under limited resources so as to achieve profit target
Provide competitive rates and market information to other business units;
Support team head to prepare administrative documents and reports
Participate in ad hoc assignments as required;¡¡
The Successful Applicant
University degree in business or related discipline
Minimum 3 years of experience in the financial services industry
Familiar with trading system / software and qualified under SFO for handling Regulated Activities Types 1, 4.
Strong sense of compliance and risk control
Proficiency in computer applications such as Bloomberg, Reuters, MS Office, Knowledge in Excel&VBA will be a plus
Good command of spoken and written English and Chinese (Both Cantonese and Mandarin)
What's on Offer
attractive package
My client is looking for a Treasury manager to join their treasury team covering retail and corporate banking
Job Description
Reporting to team head, you will be responsible to:
Manage cashflow, liquidity and interest rate risk for the Bank and to ensure all key risk indicators are in compliance with internal limits and regulatory requirements;
Perform inter-bank lending/borrowing, fx swap & interest rate derivative transactions dynamically in accordance to the bank's asset-liability position;
Explore business opportunities and advise strategies to maximize revenue under limited resources so as to achieve profit target
Provide competitive rates and market information to other business units;
Support team head to prepare administrative documents and reports
Participate in ad hoc assignments as required;¡¡
The Successful Applicant
University degree in business or related discipline
Minimum 3 years of experience in the financial services industry
Familiar with trading system / software and qualified under SFO for handling Regulated Activities Types 1, 4.
Strong sense of compliance and risk control
Proficiency in computer applications such as Bloomberg, Reuters, MS Office, Knowledge in Excel&VBA will be a plus
Good command of spoken and written English and Chinese (Both Cantonese and Mandarin)
What's on Offer
attractive package