Treasury & ALM Analyst
JOB DUTIES & RESPONSIBILITIES
- Support key Treasury initiatives; steering refinement of ALM framework
- Execute the company’s investment strategies and source funds as required.
- Create and maintain the approach and policy around the firm’s processes.
- Assist with the capital management framework, including capital stress testing.
- Maintain the Company’s liquidity position, therefore ensuring all operations embarked by the Company are adequately funded.
- Partner effectively across the various areas of Finance and Business Units, utilizing strong financial and analytical skills, as well as thorough understanding of capital planning, funding strategies and key balance sheet metrics.
- Perform analysis of activities to support organization’s capital and funding initiatives, which includes analyzing regulatory capital results, capital raises, capital structuring, interpreting regulatory requirements in the context of a business problem and developing financial solutions.
- Foster relationships with partners with business and finance departments to resolve funding questions, provide strategic guidance and communicate capital and funding usage.
- Keep abreast of new regulations or policies that may affect earnings and investment portfolio.
- Execute the company’s investment strategies and source funds as required.
- Provide business advisory services to customers as well as deploy capabilities that supports their wealth management/investments.
- Ensure transactions are carried out within compliance, regulatory and legislation governing the financial services industry framework.
- Enhance and/or develop reporting tools used to communicate Interest Rate Risk drivers.
- Run a profitability analysis on a regular/ad hoc basis in light of changing market environments.
- Contribute to the implementation of optimized liquidity strategies including recommendations on tenors, funding types etc.
EDUCATIONAL & PROFESSIONAL QUALIFICATION
- B.Sc. Economics, Accounting, Banking and Finance
- Minimum of 3 years relevant experience in ALM, Treasury, or capital management
- Master’s in business administration & other related professional qualification (Desirable)
COMPETENCY REQUIREMENTS
- Enhanced writing and communication skills
- Experience with Microsoft Office Suite
- Effective in data gathering/synthesis, able to work in an unstructured environment, effective communication skills and able to build partnerships internally and externally.
- Financial interpretation
- Analytical / Problem solving skills.
- Strong knowledge of finance i.e., equity, debt, and portfolio management
- Understanding of Wealth Management tools
Equal Opportunity Employer
We are dedicated to providing equal employment opportunities and embracing diversity, recognizing that a diverse workforce fosters innovation and enhances the ability to achieve extraordinary outcomes.