Key Responsibilities:
Lead the Bank's Asset & Liability Management function
Drive balance sheet optimization and funding efficiency
Manage interest rate and liquidity risks across the banking book
Coordinate ALCO activities, reporting, and strategic analysis
Support regulatory compliance and policy governance
Provide scenario modelling and balance sheet insights for executive decision-making
Ideal Candidate:
7 - 12 years' relevant experience in Treasury, ALM, Market Risk, or Financial Risk Management within a regulated banking environment
Strong knowledge of IRRBB, liquidity risk, and balance sheet analytics
Proven experience preparing ALCO reports and senior management presentations
Strong financial modelling and analytical capabilities
Bachelor's degree required; MBA/MSc and certifications such as CFA, FRM, or ACI are advantageous
What We're Looking For:
Strong stakeholder management skills
Sound judgment in dynamic market environments
Ability to simplify complex financial concepts for business leaders
High attention to detail and strong risk awareness