As per Global Funding policies and procedures, manage funding for designated legal entities in coordination with global partners
Execution of trades (including FX, Money Market & Government securities ) for Treasury/LOB needs
Manage liquid asset buffers
Maintain market contacts (internal / external) for liquidity management
Provide liquidity risk counsel and pricing consultation to lines of business (LOBs)
Manage Local (Japan) and Foreign currency balance sheets
Monitor conditions affecting the local and global funding environment and react appropriately
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 (Including GPS, CBK, FICC, Equities)
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 / Internal liquidity metrics
Balance various factors when sourcing funding including stability, price, and accessibility in changing conditions
Risk management
Manage interest rate and liquidity 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
Monitor changes in assets and liabilities and understand reasons for change
Provide input to Funds Transfer Pricing to ensure that FTP drives behaviour consistent with corporate goals.
Ensure that a robust control environment is maintained through compliance with all policies, procedures and directives
Act as delegate when required to represent Corporate Treasury at local Treasury regional management meetings/ALCOs
Initiative Management
Participate in operational excellence initiatives in order to reduce risk, enhance accuracy and increase efficiency
Participate proactively in technology enhancement projects in support of operational excellence initiatives
Participate and support Enterprise employee engagement principles and initiatives
Other
Collaborate extensively with Global Funding peers as well as support partners in Finance, Risk Management and Operations
Present to senior management on a variety of asset and liability management topics
Monitoring of global financial markets and providing market updates to global partners
Respond to requests from local regulators
Identify and implement process improvements
Be a champion for adopting new technologies
Participate in regional / global funding projects and initiatives
Skills:
Fluent in English and Japanese (verbal and written)
Undergraduate degree – prefer with quantitative focus / economics, finance, accounting, or engineering major
Relevant experience in Money Market / FX activities would be highly beneficial (but not essential providing strong drive to learn)
Experience in Balance Sheet and Liquidity Risk management would be highly beneficial (but not essential providing strong drive to learn)
Good working knowledge of money markets, foreign exchange, bond and swap markets
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 . Experience in Bloomberg will be an added advantage.
Good presentation skills (verbal and written)
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”