Deputy Head/ Head of Planning & Balance Sheet Management Department
Mô tả công việc
Planning
- Build and implement policies/ procedures/ regulations of IVB in each period.
- Manage and monitor activities of PBSM Dept. in each period.
- Build and implement activities plan according to functions & duties of PBSM Dept. in each period.
Manage and operate overall activities:
Policy development
- Monitor the operation of issued documents, support business units in implementing these policies, and propose and draft amendments and supplements to suit the provisions of the law, the SBV, and the operation of Indovina Bank from time to time.
2. Asset Liability Management (ALM)
- Analyze the customer behavior on both the asset side and the liability side.
- Coordinate with the Risk Management Department (a focal unit) in developing the risk interest rate strategy for IVB.
- Consult the ALCO Council on implementing appropriate monitoring criteria for Balance Sheet/ Asset structure and fund management; Be the secretary of the ALCO Council.
- Solve any ALM issues according to the warnings from the Risk Management Department.
- Manage risk of liquidity, interest rate and currency
- Provide reports and suggestions to BOE about the Bank’s interest rate and liquidity risk.
Balance sheet management
- Knowledge of Banking, Accounting, Crediting and Investing
- Manage the funding position of the entire system according to regulations of the SBV and IVB in each period and provide solutions to optimize funds.
- Short- term cash flow (under 03 months) and liquidity management to minimize risks. Coordinate with the MMD in constructing fund contingency plans according to regulations.
- Monitor the daily operation of the MMD to provide timely suggestions and advice. Analyze and evaluate the liquidity management operation to ensure liquidity safety and feasibility while maximizing profitability.
- Track and balance the Required Reserve to ensure the required reserve ratio at the SBV.
- Language: Fluent English (equivalent to TOEIC 700).
- Monitor and report the prudential ratios in operation about liquidity ratio and solvency ratio according to regulations of the SBV and government’s administrative agencies in each period.
- Expertise of trading Treasury product, Liquidity management, Risk management…
- Operate and monitor the application of fund transfer pricing (FTP) operation, lend and deposit rate policies under approved mechanisms, provide suggestions to BOE for amending/ supplementing the Fund transfer policies, interest rate policies based on market situation, and maximize the IVB’s productiveness. FTP and interest rate policy management
- Develop and implement the plan for fund management solutions as requested by the Division Leaders and BOE in each period.
- Centralized balance sheet management: Perform centralized internal capital management with BUs; manage and monitor the liquidity of the entire IVB system according to the SBV’s regulations in each period.
- Bachelor from university with major in: Economic, Finance and Banking
- Experience: At least 5 year- experience in Banking/Finance/Investment and 2 year- experience in management related to Treasury
- Implement the fund transfer (Viet Nam Dong and foreign currency) for all units in the whole IVB system.
Kinh nghiệm: 3 Năm
Địa điểm: Hồ Chí Minh
Ngành nghề: Ngân hàng, Tài chính / Đầu tư, Chứng khoán
Hình thức: Nhân viên chính thức
Cấp bậc: Quản lý
Yêu cầu công việc
- Expertise of trading Treasury product, Liquidity management, Risk management…
- Experience: At least 5 year- experience in Banking/Finance/Investment and 2 year- experience in management related to Treasury
- Language: Fluent English (equivalent to TOEIC 700).
- Knowledge of Banking, Accounting, Crediting and Investing
- Bachelor from university with major in: Economic, Finance and Banking
Quyền lợi
Chế độ bảo hiểm, Du Lịch, Phụ cấp, Đồng phục, Chế độ thưởng, Chăm sóc sức khỏe, Đào tạo, Tăng lương, Công tác phí, Phụ cấp thâm niên, Nghỉ phép năm, CLB thể thao
Cập nhật gần nhất lúc: 2026-03-13 12:30:04









