Alliance Bank Malaysia Berhad
- Generally, execution of funding and liquidity management
- Execution of daily funding liquidity activities and strategies for MYR and FCY to meet requirements
- Execution of term/arbitrage funding via REPO and/or FX swap
- Assist in monitoring cash balances and the management of interest rate risk and liquidity ratios incl LFR and LCR
- Assist in pricing of funds for internal users within the bank eg. BA,COF, Fixed Rates
- Expand, diversify and develop deposit customer base
- Assist to cover investment portfolio and AIS funding if and when required