Development and support Head of Treasury for overall Group Treasury strategy and Treasury risks management
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Support Treasury policies, including Funding and Capital Management, Funds Transfer Pricing, Bank Account Management Policies and Contingency Funding Planning
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Support balance sheet management and capital management, ensuring liquidity, funding, interest rate risks are appropriately balanced with company return objectives
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Collaborate with and build relationships with Business lines to enable sustainable growth and have measured access to short-term and long-term internal financing
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Provide support to the Head of Treasury, CFO and other company management and Business heads
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Development, coaching and realizing potential of own team and wider Treasury function to improve capability and promote self-development
Requirements
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Bachelor’s degree in Finance, Risk Management, Economics or other relevant discipline, with good academic record
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Postgraduate degree or FRM / CFA certification
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5 - 8 years’ experience in Risk, Finance, Treasury or relevant function in the financial industry
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Open-minded and flexible team player
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In-depth knowledge of local and global markets
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Solid knowledge base of financial assets and investment strategies
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Good team building and management skills
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Good Communication, interpersonal and problem-solving skills
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