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Bank Of America AVP Bank Funding Trader Corporate Treasurer CFO Group 
Philippines, Taguig 
228546982

17.09.2024

Responsibilities:

Funding execution

  • As per SALM policies and procedures, manage funding for designated legal entities in coordination with global partners
  • Execution of trades (FX, Money Market & Securities) for Treasury needs
  • Provide liquidity risk counsel and pricing consultation to lines of business (LOBs)
  • Manage Local (PHP) and Foreign currency (USD) balance sheet
  • Provide daily rate setting as and when required

Funding forecasting

  • In concert with local and enterprise partners, analyze business plans and forward balance sheet for designated legal entities and develop an appropriate funding plan
  • Work with business partners to develop an understanding of future business flows and risks
  • Work closely with international peers to coordinate flows and promote efficiency
  • Investigate and correct forecast misses in order to minimize future variance
  • Manage liquidity and applicable ratios e.g. LCR / NSFR
  • Balance various factors when sourcing funding including stability, price, and accessibility in changing conditions

Risk management

  • Manage interest rate and liquidity gap risks within established metrics consistent with the company’s risk appetite
  • Hedge interest rate and foreign exchange exposures where necessary per policy
  • Be a subject matter expert and consult with LOB’s on liquidity risk drivers and constraints
  • Manage excess liquidity; adhere to statutory and operational requirements to achieve maximum efficiency
  • Understand inter-linkages and implications of local regulations especially relating to cross- border funding

Balance sheet governance

  • Understand, participate and contribute actively to Operational Excellence
  • Monitor changes in assets and liabilities and understand causation
  • Work with FTP group to ensure that practices and methodologies drive desired behavior
  • Ensure a robust control environment is maintained through compliance with all laws, regulations, policies, procedures and directives.

Other

  • Participate in technology enhancement projects
  • Perform extensive ad-hoc financial analysis related to funding risks and opportunities
  • Respond to spontaneous information/reporting requests both internally and from regulators
  • Compliance with relevant local and applicable international regulations including Dodd Frank / Volcker rule
  • Treasury back-up at local LMT / ALCO
  • Daily Benchmark submission (if applicable)

Skills:

  • Undergraduate degree with quantitative focus / prefer finance, accounting, or engineering major
  • Treasury Certification – Money Market Moduleis required
  • Relevant experience of 1 -2 years in Money Market / FX activities is preferable
  • Experience in Balance Sheet and Liquidity Risk management would be added advantage
  • Good working knowledge of money markets, foreign exchange, bond and swap markets combined with a thorough understanding of local regulations
  • Good presentation skills (verbal as well as written) – Ability to communicate clearly and concisely (in English), verbally and in writing, at all levels within the organization
  • Strong ability to communicate effectively across a broad range of constituents including seasoned teammates, upper management and disparate business partners.
  • Strong Excel skills / Word and Powerpoint proficiency are a must
  • Programming experience will be an added advantage
  • Ability to deliver a difficult message while maintaining close working relationships.
  • Creative problem-solving skills and orientation
  • A genuine interest in financial markets / a drive to “win”