Liquidity Risk Manager (Mandarin Speaking)

Location: Sydney, New South Wales
Job Type: Permanent
Salary: Negotiable
Contact: Anson Lam
Specialisation: Banking
Reference: 188618_1538703066

The Company:

Our client is a leading global commercial bank which adopts customer focused approach and embodies great work life balance initiatives. They are currently seeking a Mandarin speaking Treasury Manager to oversee their Liquidity Risk Management. The candidate must be able to demonstrate experience with implementing Liquidity Risk Frameworks and Policies.

The Role:

  • Develop detailed plan on implementing the Bank's liquidity risk frameworks and policies
  • Assess level of risk tolerance and report to management
  • Develop liquidity risk Key Risk Indicators for the team
  • Promote positive risk environment across business units and support
  • Prepare regulatory and analytical reports for head office
  • Formulate liquidity stress test to guide business units
  • Ensure policies and frameworks compliance to the regulatory requirements

You must have:

  • 5+ years experience within Banking or Audit Industry
  • Experience developing detailed plans and organisation of tasks
  • Liquidity risk exposure
  • Commerce/Law/Related Degree qualified
  • CFA/CPA/FRM preferred

For a confidential discussion please call Anson Lam on 02 8247 5712, email or click on the apply button below.