Assistant General Manager, Group Treasurer
CurrentGroup Treasurer : Key responsibilities• Manage the bank's balance sheet interest rate and FX mismatch risks • Manage the bank’s funding continuity, and liquidity risks• Maintain access to short and long-term wholesale funding markets through a variety of instruments (repos/reverse repos, securitizations, covered bonds, unsecured bonds etc.)• Comply with minimum liquidity ratios (NSFR, LCR) and MREL targets• Manage the Financial Institutions business ("correspondent banking")