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Senior ALCM Manager, Liquidity (Steering & Optimisation), ASP

Senior ALCM Manager, Liquidity (Steering & Optimisation), ASP

发布于 14 天前

中层管理(经理/总监)

Central, Hong Kong Island, Hong Kong
高级经验
全职员工
混合式弹性办公
学历未注明
风险管理
Powerpoint
Risk Management
Stakeholder Management
Cross-Currency Liquidity
Financial Resource Planning
Funds Transfer Pricing (Ftp)

AI 估算 · 80k–150k

Senior manager at global bank in Hong Kong, liquidity risk expertise commands high compensation. Market rate for similar roles i

职位详情

关于这个职位

Senior ALCM Manager within Treasury Liquidity at HSBC, responsible for steering the bank's liquidity and funding positions across currencies. This role focuses on Funds Transfer Pricing, balance sheet deployment governance, and providing strategic insights to senior management. It involves driving liquidity monitoring, stress testing, and financial resource planning for AMH and HBAP entities.

最低要求

Solid experience in Treasury/ALM covering liquidity risk management and/or FTP in a banking environment.

Good understanding of cross-currency liquidity dynamics, regulatory and internal liquidity metrics/limits and the interaction with balance sheet management.
Strong analytical and problem-solving skills, with the ability to translate data and market developments into actionable insights.
Strong stakeholder management skills, with confidence engaging and influencing across functions and business lines (including Markets).
Strong written and verbal communication skills, including the ability to express complex concepts clearly and concisely for senior audiences.
Proven capacity to prioritise tasks and manage multiple competing deadlines in a fast-paced environment.
Strong Excel and PowerPoint skills.
Ownership mindset with sound judgement, and the ability to coach others and delegate effectively.
Attention to detail.

工作职责

Optimise deployment of liquidity and funding resources while ensuring the bank operates within risk appetite and applicable governance requirements.

Drive ongoing liquidity and funding monitoring and forecasting for AMH and HBAP, including liaison with business and sites on liquidity optimisation and steering, both at total and single currency levels, based on the forecasted liquidity positions.
Drive the Financial Resource Planning (FRP) process from liquidity and funding perspective for AMH and HBAP to project the funding/ financial resource requirements, impact on liquidity and funding metrics and ensure the long-term liquidity and funding management is aligned with business strategy and the bank’s risk appetite.
Own and enhance liquidity risk management and stress testing frameworks (including cross-currency liquidity management), covering methodology, limit calibration, monitoring and escalation.
Review and advise on bespoke intragroup/client transactions, assessing liquidity/FTP impacts and ensuring appropriate documentation and controls.
Provide market and financial resource insights for senior management during periods of volatility; maintain and enhance dashboards/MI in response to evolving management needs.
Prepare analysis, inputs and/or papers for governance forums and committees, supporting decision-making on liquidity, funding and financial resource topics.
Support regulatory engagements as and when required, including ad-hoc enquiries and periodic liquidity updates on liquidity risk matters.
Build effective working relationships across Treasury, Risk, Finance and business stakeholders, and contribute to coaching/delegation within the team.

优先资格

Knowledge of Markets business is a plus.

AI 洞察

优缺点分析

优点

  • Opportunity to work at a globally renowned bank with deep resources and extensive career mobility.
  • High-impact role affecting bank-wide liquidity strategy, providing significant professional growth.
  • Hybrid work style allowing flexibility, while based in central Hong Kong, a major financial hub.
  • Exposure to senior management and cross-functional collaboration enhances visibility and influence.
  • High-pressure environment, particularly during periods of market volatility, requiring rapid response and decisive actions.
  • Complex responsibilities spanning multiple entities and currencies, demanding exceptional coordination and attention to detail.
  • Balancing business needs with strict regulatory and internal governance requirements can be challenging.
  • This role is ideal for finance professionals with strong ALM/Treasury experience who thrive in strategic, high-stakes environments.

缺点 / 挑战

暂无明显挑战项

角色解读

  • Progress to senior leadership roles within Treasury or wider Finance, leading larger teams and strategic initiatives.
  • Specialize further in balance sheet management or move to regional/global treasury positions.
  • Opportunity to build expertise in liquidity risk management, a critical function for banking stability, leading to roles like Head of Liquidity or ALM.
  • Steer the bank's liquidity and funding resources across currencies, optimizing deployment within risk appetite.
  • Develop and enhance liquidity risk management frameworks, including stress testing and cross-currency liquidity monitoring.
  • Provide strategic insights and recommendations to senior management during volatile market conditions.
  • Collaborate with business lines and partner functions to influence financial resource allocation through FTP and governance.
  • Deep expertise in Treasury/ALM, specifically liquidity risk management and Funds Transfer Pricing.
  • Strong analytical and data interpretation skills, with proficiency in Excel and PowerPoint for reporting.
  • Excellent stakeholder management and communication skills to influence senior audiences.
  • Understanding of regulatory liquidity metrics and balance sheet dynamics, with a comprehensive risk mindset.

申请策略

  • Research HSBC's organizational structure and recent initiatives in Treasury to tailor your application.
  • Show genuine interest in the bank's strategic priorities and how your experience aligns with their liquidity objectives.
  • Highlight specific experience in liquidity risk management, FTP, or balance sheet management, with measurable outcomes.
  • Showcase ability to influence senior stakeholders through clear communication and strategic insights.
  • Demonstrate strong analytical skills with examples of complex data analysis translating into decisions.
  • Emphasize any regulatory or stress testing frameworks you have developed or improved.
  • Familiarize yourself with Hong Kong regulatory liquidity requirements (e.g., HKMA) and international standards like Basel III.
  • Advance Excel and PowerPoint skills, particularly in financial modeling and dashboard creation.

面试指南

  • Use the STAR method (Situation, Task, Action, Result) to structure examples, focusing on your role and impact.
  • Link your answers to broader bank objectives, showing how your actions contribute to financial stability and business strategy.
  • Demonstrate leadership by discussing how you collaborate with teams and influence without direct authority.
  • How have you managed liquidity risk during a period of market stress? Please share a specific example.
  • Describe your experience with Funds Transfer Pricing. How does it influence business behavior?
  • How do you prioritize competing demands when working under tight deadlines?
  • Explain a complex liquidity concept to a non-specialist senior audience.
  • How would you approach improving the firm's cross-currency liquidity monitoring framework?

职位点评

72
综合评分

Senior liquidity risk role at a global bank, offering strong development opportunities but with limited lifestyle perks and social impact.

从薪资福利、成长空间、工作节奏和岗位方向综合评估,方便横向比较。

更适合这类人
This role is best suited for professionals who prioritize career growth and skill development in a prestigious financial institution, with a tolerant view on work-life balance.
表现最好
成长发展
相对薄弱
使命价值
薪资福利70
成长发展80
工作生活70
使命价值60

薪资福利

70中等

While salary details are not disclosed, senior roles at global banks in Hong Kong typically offer competitive compensation. The role does not mention specific benefits.

薪资信号未披露(AI估算:80K-150K/月)

成长发展

80较高

The role offers significant development through exposure to complex liquidity risk management, senior stakeholder interaction, and coaching responsibilities, which enhance skills and career growth.

技术前沿传统/成熟技术
技术栈Liquidity Management、FTP、Stress Testing、Excel、PowerPoint
业务类型ambiguous

工作生活

70中等

Hybrid work arrangement offers some flexibility, and the central location in Hong Kong is convenient, but no explicit WLB policies are stated.

工作模式混合式弹性办公
办公地点市区核心地段
加班情况未提及(无法判断)

使命价值

60中等

The role contributes to the bank's financial stability and prudent risk management, which has a positive but indirect societal impact.

行业发展稳定成熟行业
社会影响中性/一般
创新程度稳健跟随主流
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