||Candidate will be part of Japan Treasury Planning & Analysis team which works closely with CFO, Global Treasurer and other members of senior management to manage the firm’s liquidity risk and funding.
This department plays a key role in the firm wide strategic and analytical initiatives, providing a unique insight into the firm’s business operations.
The role will involve working closely with Treasury colleagues across Singapore, Mumbai, New York and London and will have significant exposure to senior management in treasury, finance and business (Capital Markets, Investment Banking, Retail and Asset Management), and will periodically interact with key regulators.
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|| Ability to work on multiple projects with high attention to detail
Comfortable managing large amount of data, building models and analyse output to identify trends and present solutions.
Strong analytical skills and experience with reporting application and BI tools (example Tableau)
Ability to analyze, evaluate and form independent judgement and recommendations
Self-starter and willing to take on responsibility and grow
Strong Verbal and written communication skills in English and Japanese
Technical capital markets business skills, with knowledge of secured financing, cross currency funding risk, intraday and derivatives transactions and regulatory requirements like LCR and NSFR.
Close interaction and build relationships with colleagues from other departments and ability to influence all levels of seniority in finance and business
Prior experience in Treasury or relevant field (for example risk management, funding, model validation) is must.
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