Fvp/vp, Balance Sheet
1 week ago
**Location**
Singapore, Central Singapore
**Job Type**
Permanent
**Date Posted**
6 hours ago
Additional Details
**Job ID**
17636
**Job Views**
18
Job Responsibilities
The Financial Strategy Division collaborates closely with business units and countries to develop the balance sheet and capital strategies of the Group. We support enhanced decision-making to achieve optimal and sustainable capital structure and funding outcomes to meet regulatory requirements and to enable the Group’s business growth strategies.
Job responsibilities:
Be part of the Financial Strategy Balance Sheet and Liquidity Reporting team to deliver insightful analytics for the Group balance sheet and liquidity returns.
Oversee the monthly reporting of Balance Sheet & Liquidity metrics and profitability to deliver insightful analysis in an accurate and timely manner to facilitate management discussion Actively engage business units as part of robust planning, forecasting process to provide forward looking assessment on implication of business growth strategies Develop financial model and conduct scenario and sensitivity analysis based on macro factors to identify risk & opportunities to support decision makingWork closely with Central Treasury in the operationalisation of Funds Transfer Pricing (FTP) policies to drive balance sheet strategies Drive delivery and transition of new FTP computation engine, and changes in processes across countries and business segmentsDevelop management dashboards to ensure strategic alignment of Balance Sheet & liquidity metrics and profitability across countries and business segmentsJob Requirements
Degree in Accounting / Finance / Business or equivalent professional certificationAt least 8-10 years of experience in the banking and finance sector Conversant with funds transfer-pricing (FTP), or experience in balance sheet management / reporting will be an advantageStrong analytical, problem solving and presentation skills, ability to work with tight deadlinesProactive, meticulous and able to work independently as well as in a teamGood influencing and interpersonal skills for stakeholder management
About the Department
The Finance and Corporate Services function manages the financial and administrative needs of the Group to help achieve its business goals.
Group Finance
We support enhanced decision-making to achieve optimal and sustainable financial outcomes for our shareholders. We are responsible for providing insights into the performance of the Group through financial, regulatory and performance reporting of the Group.Be a part of UOB Family
Tags
fvpvp
balance
sheet
liquidity
reporting
financial
strategy
group
finance
-
VP/FVP, Business Risk Advisory
4 days ago
Singapore UOB Full timeJoin to apply for the VP/FVP, Business Risk Advisory role at UOB Get AI-powered advice on this job and more exclusive features. About UOB United Overseas
-
FVP/VP, Senior Team Head, PVO
4 days ago
Singapore UOB Full timeOverview Join to apply for the FVP/VP, Senior Team Head, PVO role at UOB . Be among the first 25 applicants. About UOB United Overseas
-
Balance Sheet Analyst
1 week ago
Singapore Gxs Bank Full time $80,000 - $120,000 per yearWe design and provide products and services that empower our customers to enjoy greater banking convenience while they extract more value from their money. In particular, we are focused on promoting and developing healthy saving and investment practices across generations.We are living in exciting times. Technology is reshaping how we live and we want to use...
-
Balance Sheet Analytics, Director
4 days ago
Singapore GXS Bank Full time**Get to know GXS Bank**: GXS Bank is a homegrown digital bank - backed by Singtel and Grab. Singtel is Asia's leading communications group connecting millions of consumers and enterprises to essential digital services while Grab is the leading technology company in Southeast Asia offering everyday services to consumers. **Get to know the Role**: -...
-
Balance Sheet Management
5 days ago
Singapore The Edge Partnership Full timeOur client is an international bank with multiple lines of business, who are looking for a Manager/Senior Manager to join their Balance Sheet Management team. Some of the key responsibilities will include: - Supporting the stress testing process to ensure healthy and robust capital levels - Interpreting regulatory requirements to ensure submission...
-
Singapore HSBC Full time $200,000 - $250,000 per yearJob descriptionSome careers have more impact than others. If you're looking for a career where you can make a real impression, join HSBC and discover how valued you'll be. Whether you want a career that could take you to the top, or simply take you in an exciting new direction, HSBC offers opportunities, support and rewards that will take you...
-
Balance Sheet Analyst
5 days ago
Singapore GXS Bank Full timeWe design and provide products and services that empower our customers to enjoy greater banking convenience while they extract more value from their money. In particular, we are focused on promoting and developing healthy saving and investment practices across generations. We are living in exciting times. Technology is reshaping how we live and we want to...
-
Singapore Citi Full timeWe live in an increasingly complex world. Companies these days are either born global or are going global at record speed. Business and geopolitics are forging an entirely new dynamic and consumers now expect financial services to be a seamless part of their digital lives. **Citi** is a bank that’s uniquely positioned for this moment. Through our vast...
-
Singapore Deutsche Bank Full time**Details of the Division and Team**: Treasury is part of the Finance division with the Group Treasurer reporting to the Group CFO. The function is responsible for the sourcing, management and optimization of capital and liquidity, and delivery of high-value risk management decisions, efficient resource management and balance sheet steering. This is...
-
Balance Sheet Management Senior Analyst
2 days ago
Singapore Citi Full time**Group Description** Citi Treasury safeguards the balance sheet, capital, and liquidity of Citigroup while providing oversight of liquidity, interest rate and currency risks. Payments, clearing and settlement (PCS) solutions provided by Citi business lines to institutions and individuals requires the firm to maintain sufficient liquidity during operating...