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Head - ALM

10.00 to 12.00 Years   Mumbai City   29 Oct, 2020
Job LocationMumbai City
EducationNot Mentioned
SalaryNot Disclosed
IndustryEducation / Training
Functional AreaSBU Head / CEO / Director
EmploymentTypeFull-time

Job Description

*About Standard Chartered We are a leading international bank focused on helping people and companies prosper across Asia, Africa and the Middle East.To us, good performance is about much more than turning a profit. Its about showing how you embody our valued behaviours - do the right thing, better together and never settle - as well as our brand promise, Here for good.Were committed to promoting equality in the workplace and creating an inclusive and flexible culture - one where everyone can realise their full potential and make a positive contribution to our organisation. This in turn helps us to provide better support to our broad client base.The Role Responsibilities

  • Manage day-to-day treasury activities such as cash flow management, long-term/short-term investment, risk management, implementation of cash management systems to optimize efficiencies, etc
  • Design key treasury policies and processes for front-end and back-end activities such as capital structure, liquidity management, risk management etc.
  • Manage structured liquidity risk measure and monitor liquidity position under normal operational conditions as well as stress scenario basis designed stress tests and contingency plans
  • Manage asset/liability profile with a focus to reduce funding cost. Capitalize on arbitrage opportunities to reduce costs.
  • Develop and maintain a liquidity limit infrastructure that is aligned to strong compliance with domestic and internal regulation thereby supporting/enhancing Credit Ratings.
  • Undertake pricing, valuation, and behavioral analysis of all Balance Sheet products in order to ensure a fully integrated risk analysis
  • Undertake continual analysis of the balance sheet, leading to recommendations on strategic hedges to protect and enhance NIM (Net Interest Margin) and overall financial performance.
  • Undertake impact analysis of business line product pricing proposals on NIM and Liquidity/Funding positions
  • Definition of models and strategies to manage market risks arising from the book (i.e. interest rate risk, foreign currency risk, credit risk etc.) and development of strategies to maximize NIM while remaining within limits. This would include ensuring that there is a proper assessment of short term and long term risks
  • Develop, review, and improve liquidity contingency plans using ongoing analysis and monitoring of liquidity flows
  • Maintain a Funds Transfer Pricing methodology on an ongoing basis which should consider international/domestic developments whilst also ensuring consistency with overall strategic business and economic objectives.
  • Ensure there are appropriate and documented internal controls policies and procedures in place - monitoring regularly to incorporate local and group regulatory policy changes
  • Ensure compliance, audit issues, RBI Inspection are controlled, and that policy and procedures are well documented and adhered to.
  • Have end to end understanding of the RBI guidelines relating to Liquidity Management, Companies Act, SEBI guidelines, etc
Our Ideal Candidate
  • Chartered Accountant or Management graduate in finance/ economics with 10-12 years of relevant working experience.
  • Knowledge of and experience in treasury/ ALM / hedging and risk management/ investment and portfolio management across banking or
  • financial institutions
  • Understanding of NBFc and financial markets
Apply now to join the Bank for those with big career ambitions.To view information on our benefits including our flexible working please visit our career pages . We welcome conversations on flexible working.,

Keyskills :
cash flow managementfunds transfer pricingcash flowfront endcredit riskbalance sheetcompanies actliquidity riskrisk managementcash managementproduct pricingimpact analysistransfer pricing

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