Liquidity Strategy & Forecasting Lead

HSBC

Ciudad de México

Presencial

MXN 2.000.000 - 2.800.000

Jornada completa

Hace 9 días
Generador de candidaturas

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Descripción de la vacante

HSBC in Mexico City is seeking a Head of Liquidity Management to oversee forecasting, regulatory reporting, and liquidity stress scenarios. You will coordinate internal and external liquidity ratios, collaborate with Treasury, and lead data-driven improvements to the balance sheet management.

The role requires extensive banking experience, strong analytical and project management skills, and the ability to engage with regulators and business lines to ensure compliance and efficiency.

Formación

  • Over fifteen years of relevant experience in banking and finance.
  • Experience on balance sheet management and banking regulation.
  • Extensive exposure across multiple Treasury, Finance, Risk and Regulatory disciplines including business information, and analysis.
  • Proven project management and analytical skills, together with ability to support decisions with sound commercial reasoning.
  • Lateral thinker with an ability to interpret and solve complex issues.
  • Numerate, evidence based analytical skills founded on an empirical base.
  • Ability to lead change, contributing to joining up with the other teams.
  • Good communicator with strong interpersonal and presentation skills.
  • English advanced level.

Responsabilidades

  • Forecasting and assuring compliance with all internal and external liquidity ratios. Prepare and update the funding plan according to the lines of business projections.
  • Endorse the use and development of statistical models to support the liquidity function of the bank, i.e. Operational Deposits.
  • Elaborate liquidity stress scenarios and complete internal exercises, including early warning indicators, ILAAP, etc.
  • Monitor aggregate cost of funds and challenge business lines dynamics to optimize NII.
  • Collaborate with the Treasury team in the management of the balance sheet.

Conocimientos

English (Advanced)
Project management
Analytical skills
Problem solving
Change leadership
Stakeholder management
Communication

Descripción del empleo

HSBC in Mexico City is seeking a Head of Liquidity Management to oversee forecasting, regulatory reporting, and liquidity stress scenarios. You will coordinate internal and external liquidity ratios, collaborate with Treasury, and lead data-driven improvements to the balance sheet management.

The role requires extensive banking experience, strong analytical and project management skills, and the ability to engage with regulators and business lines to ensure compliance and efficiency.

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