Treasury Associate - Finance, MariBank
Posted: 1 days ago
Job Description
Job DescriptionManage bank-wide liquidity by managing inter-nostro cash movement, investment maturities and corporate fundingManage bank’s balance sheet by effectively matching asset exposures to various liability profile and ensuring a prudential risk-reward trade-off in Treasury portfolio and explain drivers across key balance sheet management metricsMonitor market/interest rate movements and proposing appropriate investment assets to purchase for yield enhancementExpand and manage counterparty relationships to enable broader access to Treasury assets and interbanking credit lineEnsure adherence to regulatory and risk limitsCreating and reviewing relevant Treasury policies as neededRequirementsBachelor’s degree/University degree or equivalent experience (Finance or Economics)At least 5 years of experience in a related roleKnowledge of fixed income productsProficient with Excel and Google SheetAbility to work independently and proactivelyConsistently demonstrates clear and concise written and verbal communicationEffective interpersonal skills to develop and maintain relationships with internal and external stakeholders
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