About this role
Principal Responsibilities: Support the team head by providing strategic insights, performing robust execution, and driving comprehensive solutions across the following functions: · Manage funding and liquidity to improve funding structure and reduce liquidity management cost while ensuring compliance of liquidity ratios including LCR, NSFR, LDR, etc. · Manage commercial book interest rate risk to improve NII/NIM and control volatilities through active market outlook and balance sheet/NII forecast · End to end FTP management · Capital management and ICAAP · Prepare ALCO materials and track execution of ALCO decisions · Work with Regional Corporate Treasury team to achieve Group synergy through cross border collaboration Education and Relevant Experience:
• Minimum with bachelor's degree from reputable university • >10 years working experience in related functions • Fluent in both oral and written Mandarin and English
Location: PRC - Shanghai Job: Corporate Treasury Schedule: Regular Employee Status: Full time