Vice President, Financial Management, Asia Pacific

Santander

  • Hong Kong
  • Permanent
  • Full-time
  • 1 month ago
Vice President, Financial Management, Asia PacificCountry: Hong KongAnalyze and manage structural risks profile of Santander branches in Asia Pacific. Coordinate the execution of financial strategies to manage interest rate, liquidity and FX risks inherent to it. Design, communicate and implement Funding Transfer Pricing (FTP) corporate mechanisms. Assist on the development of policies and procedures related to financial management in Santander Asia Pacific.Key ResponsibilitiesAnalysis and management of liquidity, funding, interest rate and FX risk in Santander Asia Pacific, including balance sheet and regulatory metrics projections.Analyse and design management proposals to ensure compliance with regulatory requirements of Santander Asia Pacific & Hong Kong Branch (LCR, NSFR, LMR, etc).Coordinate the execution of funding strategies with relevant internal and external stakeholders.Actively watch developments in relevant capital markets to identify opportunities for structural risk management (i.e. balance sheet positioning) and raise funding.Design, communicate and implement Funding Transfer Pricing (FTP) mechanisms.Preparation of the Strategic Financial Plan of Santander Asia Pacific.Analyse main drivers of pool of funds (ALCO) P&L results design and implement actions for its management.Participate with relevant control areas in the setting of risk appetite and limits.Oversight intraday liquidity risk with other departments involved in its daily management.Participate in the development of policies and procedures related to financial management including liquidity and recovery planning and other risk management related documents.Coordinate and prepare the necessary reporting to the management board in relation to financial management topics.Actively participate in other strategic financial management projects.RequirementsBachelor or master’s in economics, Finance, Business Management, or related discipline of study. Holding professional certifications such as CFA or FRM will be positively considered.Minimum experience of 5+ years in banking, consulting, auditing, or financial industry. Previous experience in Assets and Liabilities management, ALM (including Market, Risks, Balance Management, Treasury, capital management, etc.) will be positively considered.Strong organizational skills and self-management.Team player and self-starter, with a can-do attitude. Good communication skills, able to effectively discuss complex matters. Proactive attitude, with strong critical thinking, able to identify and defend new ways to approach problems faced by the organization.Strong computer skills, Excel and PowerPoint in particular. Previous experience with Bloomberg terminal is required.High proficiency in both spoken and written English (Mandarin will be considered a plus).

Santander