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Position Purpose
Global Markets ALMT(GMAT) team is responsible for Global Markets assets and liabilities liquidity steering, setting internal rules, defining fund transfer pricing, operationally managing Global Markets liquidity and monitoring liquidity indicators in order to minimize liquidity risks and costs by giving the right incentives to the business across regions. GMAT operates within the Group ALCO designed framework.
Responsibilities
Daily priorities and tasks are defined by the Deputy head of GMAT APAC.
Primary responsibility
Secondary responsibilities
Global Markets Liquidity risk analysis:
o Analyze, monitor and invoice Liquidity within Global Markets, in liaison with the various GBLs and regions/entities
o Define GM funding framework by the Group, in cooperation with Group ALM Treasury, Risk and Finance
o Understand the specificities of the onshore/offshore setup and their impact on daily management, liquidity pricing and derivatives valuation (in relation with xVA)
o Help to contribute to GM TACs/NACs
o contributing to the APAC Global Markets Liquidity Committee
Global Markets contribution to the Group Liquidity economic and regulatory indicators:
o Consolidate and explain GM contribution to the Group LCR, NSFR, Liquidity Gap, Stress Test,...
o Participate to Group indicators implementation, from methodological definition to the coordination of IT systems evolutions required to produce them
o Improve if needed the liquidity monitoring setup of the local entities with ALM and Finance
. Monitor the Interest Rate Risk in Global Markets Banking Books:
o Contribute to the Group IRRBB indicators
o Implement the procedures and tools required to monitor IRRBB within GM
Soft Skills
. Team player with strong interpersonal skills and hard-working capacity
. Self-motivated with a strong desire to learn but also to lead projects
. Strong attention to detail, level of accuracy and ability to multi-task
. Excellent analytical, oral and written communication and presentation skills
. meet time sensitive deadlines
Competencies
. Previous experience of cash management in a Global Market environment highly desirable
. Previous trading experience of FX swap and IR swap necessary
. Ability to design automated solutions, upgrade processes to improve operational efficiency. Knowledge of Python would be a plus
. Capacity to explain and follow P&L and Risk positions
. Capacity to assess Risks
Technical requirement
. Good command of IT systems
. Good understanding of internal liquidity parameters and key regulatory and requirements
Job ID: 145393549