Featured Jobs

VP, Balance Sheet Management / ALM, Corporate Treasury

  • Corporate Treasury
  • ALCO & Balance Sheet Management
  • Committed to Innovation

Recognised as one of the leading and innovative banking group in Asia, our client offers a full range of retail to corporate banking, investments and other financial products and services to its clients. A fantastic opportunity has arisen for an experienced ALM / Treasury professional to join the bank’s Hong Kong Corporate Treasury function.

The key responsibilities for this position are as follows:

  • Key member of the Corporate Treasury function focusing on Asset & Liability Management and Balance Sheet Management.
  • Assist the Corporate Treasurer and ALCO in formulating balance sheet strategies for ALCO purposes.
  • Work closely with business leaders to understand the business drivers to enable efficient balance sheet management.
  • Provide data analytics to balance sheet trends, risks and mitigations.
  • Manage Funds Transfer Pricing matters with oversight on FTP policies and settings, liaise with the business functions on FTP programs and quotations.
  • Support the bank in managing funding requirements, liquidity, rebalancing of portfolio.
  • Ensure liquidity ratios are managed in alignment with regulatory requirements.
  • Involved in corporate treasury related projects, regulatory-driven projects, system enhancement etc.
  • Liaise with head office on Balance Sheet and Asset & Liability related matters, regulatory requirements and handle requests from internal teams, external regulators and auditors.

Successful applicants will have the following skills and experience:

  • Degreed qualified ideally with other professional qualifications such as CPA, Treasury Management Professional, FRM or CFA.
  • Min. 7 years experience in Corporate Treasury, Balance Sheet Management, Asset & Liability Management, Funding & Liquidity Management, Risk Management and / or Treasury Dealing room experience gained from the Banking sector.
  • Understanding of key drivers of balance sheet management, liquidity ratios, FTP, capital.
  • Strong Financial Markets products knowledge.
  • Familiarity to HKMA and liquidity rules and regulations.
  • Excellent communication skills with fluency in English, ability to speak Cantonese or Mandarin would be advantageous but not required.

Information provided is for recruitment purposes only.

Bowen Partners is committed to protecting your privacy. Please review our Privacy Policy for more information.