Job Grade: VP Reporting to: Head of Treasury & Markets
Principal Accountability: Responsible for the in-country Balance Sheet Management (BSM, liquidity & Funding and Capital)
Main Responsibilities:
• Ensure adherence to Funding, Liquidity and Capital Management policies and in-country regulatory and internal capital requirements.
• Forecast regulatory and economic capital demand & supply across business units.
• Determine capital buffers and perform Cost of Equity calculations in line with enti1¥ approved principles and methodology.
• Responsible for development and delivery of ICMPs.
• Responsible for development of Recovery and Resolution planning
• Responsible for the in-country AlM process within the guidelines set by entity.
• Achieve an appropriate risk profile within Group standards and risk tolerances by centralizing, netting and hedging all manageable risk via the Treasury Execution Services (TES) desk
• Measurement, analysis and interpretation of interest rate risk in the banking book
• Ensure appropriate funding profiles are achieved and determine capital markets issuance need.
• Responsible for robust funding plans which are tracked diligently with a challenge and review process against business plans including setting appropriate funding profiles.
• Responsible for the bonk's Contingent Funding plans, Liquidity Risk Appetite setting and liquidity stress testing.
• Implement the Bank's FTP policies and oversee execution
Education and Experience Required
• Bachelor's degree
Knowledge Skills:
• Thorough understanding of banking across segments, with ability to lead strategy on future initiatives.
• Measurement, analysis and interpretation of risks, especially interest rate, capital and liquidity risk
• Capital management experience
• 5 to 10 years' experience in financial markets with emphasis on Treasury related experience
• Post-graduate qualification
• Interpersonal skills, proficient communication and able to influence decisions
• Experience in managing teams and stakeholder management
• Extensive experience in Treasury and Balance Sheet Management with a track record of leadership and development of the function across businesses.
Competencies:
• A detailed knowledge of the Treasury Governance and oversight process
• A detailed knowledge of interest rate risk management including structural and behavioral analysis
• A detailed knowledge of liquidity and funding risk management
• Knowledge of capital risk management
• Knowledge of financial markets and economic fundamentals
• Knowledge of treasury, retail, corporate and capital markets products
Remuneration:
Attractive salary
NB: Your CV should have atleast two referees