обновлено 10 часов назад
Liquidity Execution Analyst (Corporate Treasury)
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
Текст:
TL;DR
Liquidity Execution Analyst (Corporate Treasury): Managing the firm's liquidity, funding, and balance sheet resources with an accent on regional funding and capital optimization. Focus on raising funding from regional markets, managing secured and unsecured funding programs, and optimizing capital composition.
Location: Minato-Ku, Tokyo, Japan (Onsite)
Company
A leading global investment banking, securities, and investment management firm founded in 1869.
What you will do
- Raise funding in the region and collaborate with the global funding team to manage liquidity.
- Manage secured and unsecured funding programs, including repo funding, structured notes, and unsecured bond issuance.
- Optimize the firm's liquidity and inventory pool composition.
- Analyze the impact of new business initiatives and products on funding requirements.
- Manage currency funding in close cooperation with currency traders.
- Enhance operational processes and contribute to strategic infrastructure development.
Requirements
- 1 to 3 years of working experience in Treasury or finance-related functions at a major financial institution.
- Strong analytical skills with the ability to formulate problems and test hypotheses.
- Experience managing large datasets and using BI tools such as Tableau.
- Functional understanding of LCR, NSFR, and G-SIB surcharge requirements.
- Fluency in English and Japanese is required.
- Ability to produce polished presentation materials for senior executives.
Nice to have
- Competency in Korean.
Culture & Benefits
- Commitment to diversity and inclusion in the workplace.
- Extensive training and development opportunities for professional growth.
- Access to global firmwide networks.
- Comprehensive benefits, wellness, and personal finance offerings.
- Mindfulness programs.
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