About The Role
We are seeking a highly analytical and detail-oriented professional to join our team focusing on Strategic Funding Management, Funds Transfer Pricing (FTP) Governance, and Balance Sheet & Liquidity Optimization. This role plays a key part in ensuring optimal liquidity positioning, efficient funding strategies, and robust governance of internal pricing frameworks across the Group.
What You Will Be Doing
- Support the planning and execution of medium- to long-term funding strategies in alignment with balance sheet growth, liquidity needs, and regulatory requirements.
- Design and develop tools and templates to monitor long-term liability maturity profiles, including instrument types and investor diversification strategies.
- Monitor market conditions and provide recommendations on optimal issuance timing, tenor, and structure.
- Participate in the periodic review and enhancement of Funds Transfer Pricing (FTP) methodology and processes.
- Monitor FTP models and internal transfer pricing curves, including validation of models and tracking of management incentives.
- Collaborate with internal stakeholders and business segments to understand balance sheet positioning and funding/liquidity requirements.
- Develop and maintain dashboards to monitor key liquidity and funding metrics such as LDR, NSFR, and LTF across domestic and regional operations.
- Conduct periodic benchmarking of key funding and liquidity indicators.
- Assist in the coordination and organization of Group Deposit Committee meetings, including agenda preparation and meeting logistics.
What We're Looking For
- Strong understanding of banking balance sheet management, liquidity risk, and funding instruments.
- Knowledge of Funds Transfer Pricing (FTP) frameworks and internal pricing methodologies.
- Strong analytical and quantitative skills with the ability to interpret financial and market data.
- Experience in developing dashboards, reporting tools, or financial monitoring frameworks is an advantage.
- Good stakeholder management and communication skills.
- Detail-oriented with strong organizational and coordination abilities.
- Ability to work in a fast-paced and regulatory-driven environment.
What We Offer
- Exposure to strategic balance sheet management and Group-level funding initiatives.
- Opportunity to work closely with senior stakeholders across Treasury, Risk, and Business units.
- A dynamic environment focused on innovation in funding strategy and financial governance.
- Strong opportunities for professional growth in treasury, liquidity, and financial risk management domains