
Liquidity and Collateral Business Analyst - Banking
- Central, Hong Kong
- Permanent
- Full-time
- Lead the validation and reconciliation of Group Treasury's loan collateral dashboards.
- Support Group Treasury in reviewing refinery outputs, with a focus on HKMA-specific draft data tapes.
- Assess and align the current HKMA CTF template completion process with Group Treasury's refinery procedures.
- Revalidate, automate, and streamline the production of the HKMA CTF template to enhance efficiency and accuracy.
- Assist in legal due diligence for both standard and bespoke contracts managed by Group Treasury, ensuring compliance with the Bank of England's Statement of Policy on Mortgages and Corporate Loans.
- A strong understanding of liquidity and collateral management concepts.
- Proficiency in financial data analysis and report preparation.
- Excellent communication and collaboration skills to work across teams.
- Experience with system enhancements and process optimization is a plus.
- Excellent exposure
- Well established bank
CTgoodjobs