Headquartered in Tokyo, Sumitomo Mitsui Banking Corporation (SMBC) is a leading global financial institution and a core member of Sumitomo Mitsui Financial Group (SMBC Group). Built upon our rich Japanese heritage since 1876, we put our customers first and provide seamless access to, from and within the Asia Pacific region. SMBC is one of the largest Japanese banks by assets and maintain strong credit ratings across our global integrated network.
With sustainability embedded within our strategy and operations, we are committed to creating a society in which today’s generation can enjoy economic prosperity and well-being, and pass it on to future generations.
Job Summary
The Senior Officer of SMBCMY will provide leadership and manage the strategic and profitability growth of treasury and market business on interbank money market, asset and liability management including loan and deposit / bonds, foreign exchange / derivatives business and cash management functions of the Bank in line with organization’s objectives and to meet the requirements of key stakeholders.
Job Responsibilities
- Develops and implements various strategies to enhance Treasury sales and operations and optimize the Banks profitability and financial stability.
- Communicates with relevant stakeholders and establishes the fiscal budget of Treasury Department which includes Interbank (Money Market & FX) and Customer Sales Team.
- Takes macroeconomic and financial environment inside / outside of Malaysia into account and provide leadership on decision making of the strategies.
- Directs preparation of business and operating plans to achieve the budget.
- Introduction of new treasury products to pursue sustainable profitability as well as respond to customer needs and meet regulatory requirements.
- Advises the Senior Management Team on treasury and markets competitive landscape, market intelligence, new business opportunities and competitive threats.
Treasury Business Operations
Evaluates the Bank’s balance sheet structures and optimize profit through proper planning and execution of treasury key strategic operations.Ensures timely and accurate financial / business reports to the Management, planning section and other stakeholders, analyses the factors and presents the forecast and plans.Supervises and enlightens the team members to continuously maintain their professionalism and integrity in carrying out the duties.Manages human resource to ensure the smooth running of daily operations and pursue profits while considering the risks.Risk Management
Negotiates and applies various Treasury related limits such as BPV, Exposure Limit, Liquidity Gap positions with relevant departments.Ensures the management and compliance to regulatory limits such as LCR and SECL through operations with Risk Management function.Ensures development of risk management framework with Risk Management function.Complies with Foreign Exchange Notices (FEN) and other regulatory rules with support from Compliance and Planning Departments.Relationship Management
Serves as bank’s representative to regulatory body such as BNM and FMAM.Support relationships with customers in cooperation with Relationship Managers of Business Promotion Groups.Manages relationships with other banks, brokers and third-party vendors.Manages relationships with the Management, Board members and other decision makers as well as Treasury sections in other SMBC global branches.Job Requirements
Degree holders with professional certification and membership with PKMC. Preferably with Chartered Banker or relevant certification.Minimum 15 years of experience in Global Markets / Treasury including knowledge of capital markets activities and foreign exchange and derivative products.At least 5 years in performing at a senior management position in the financial industry.Demonstrated strong understanding of the local treasury and corporate banking business and market dynamics including financial performance, key objectives / challenges and competitive landscape.#J-18808-Ljbffr