Objective:
Responsible for ensuring effective planning and budgeting, completing tasks as assigned by the Director of the Department
Responsibility:
Business analytics
- Analyze bank financial data – maintain 5 years financial models for decision making.
- Reporting on financial performance and preparation for regular leadership reviews
- Recommend actions by analyzing and interpreting data and making comparative analyses; study proposed changes in methods and materials
- Identifying and driving process improvements, including the creation of standard and ad-hoc reports, tools and Excel dashboards
- Market research, data mining, business intelligence, and valuation comps
Planning
- Assist head of division in business planning and forecasting.
- Assist CFO and head of division on capital planning process.
Other:
- Assist in the management of regulatory, rating agency and investor relations agendas.
- Business intelligence regarding bank balance sheet.
- Other tasks assigned by head of central finance.
Requirement:
- Strong financial analysis foundation. At least 2 years experience in audit, financial analyst or market risk balance sheet management.
- Proficiency with Microsoft Excel is required; familiarity with data query/data management tools is helpful ( SQL, Business Objects)
- Knowledge of bank balance sheet and basic accounting principle.
- Good logical thinking and critical reasoning.
- Attention to detail, professional attitude.
- FRM/CFA/ACCA or mathematic background is an advantage.