Devising strategies and tactical measures to optimise funding, including management of the liquidity pool and associated risks. Where relevant, they may develop and execute risk management strategies and manage risks within authorised limits.
Managing the Bank’s daily liquidity pool funding and cash management in line with the risk appetite (e.g. market, credit and liquidity risk limits) via external unsecured funding, inter-branch funding, central bank open market operations and daily central bank placement
Supporting regional funding strategies and overall treasury risk management. The candidate will be responsible for selected funding portfolios and be measured against the relevant performance targets set by the division. Where applicable, the Trader will have responsibility for meeting internal revenue benchmarks, actively managing their trading positions within the authorised trading/risk limits, monitoring Limit utilisation and for ensuring accurate trade capture in line with applicable policies.