Dealer - Corporate Funding, Group Funding & Liquidity Management
Salary undisclosed
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Key Responsibilities:
- Provide expert advice and support to the Head – Group Funding & Liquidity Management in relation to the Group’s overall liquidity and funding position, from the customer point of view.
- Formulate the strategy in regards to the growth of Treasury’s customer deposit.
- Identify & develop funding products by working closely with other business units & branches to develop new customer Treasury’s liability product.
- Overall management of the Group’s corporate funding (by amount, tenor, rate, market
- Sourcing, identify, negotiate and execute Treasury’s customer deposit products.
- Treasury Customer Liabilities management to lower the cost of Treasury Funding Cost.
Requirements:
- A degree of professional qualification from an institution recognized by government of Malaysia.
- Strong understanding of Funding & liquidity management and Treasury corporate liabilities products.
- Strong understanding of Treasury corporate Treasury deposit transaction flow.
- Well verse of BNM regulations in regards to Treasury Corporate deposits.
- Strong analytical and relationship building skills.
* Only shortlisted candidates will be notified.
Key Responsibilities:
- Provide expert advice and support to the Head – Group Funding & Liquidity Management in relation to the Group’s overall liquidity and funding position, from the customer point of view.
- Formulate the strategy in regards to the growth of Treasury’s customer deposit.
- Identify & develop funding products by working closely with other business units & branches to develop new customer Treasury’s liability product.
- Overall management of the Group’s corporate funding (by amount, tenor, rate, market
- Sourcing, identify, negotiate and execute Treasury’s customer deposit products.
- Treasury Customer Liabilities management to lower the cost of Treasury Funding Cost.
Requirements:
- A degree of professional qualification from an institution recognized by government of Malaysia.
- Strong understanding of Funding & liquidity management and Treasury corporate liabilities products.
- Strong understanding of Treasury corporate Treasury deposit transaction flow.
- Well verse of BNM regulations in regards to Treasury Corporate deposits.
- Strong analytical and relationship building skills.
* Only shortlisted candidates will be notified.