Work alongside Balance Sheet Leads, take guidance and support the initiatives to drive overall balance sheet optimization strategy for LMS
In supporting role, coordinate and investigate cluster' KPIs and OKRs movements for accuracy and accountability
Partner with Finance, Treasury, and other partners on Plan discussion, quarterly plan and outlook, Beta quarterly assessment, deposit analytics
Contribute to various senior forums (cluster and country reviews; country deep dives) material reviews and material preparation, deliverables tracking and follow-ups
Regular and ad-hoc deposit, product mix and financial impact analysis: Deposit volatility / Targets & Deposit Capacity Management, GSIB management
In close partnership with the Fund Transfer Pricing, Capital, and Hedging Optimization Team, assess and highlight SYC issues for the countries
Support Cluster / Country balance sheet management topics that arise, guide or resolve issues
Partner with Finance and Data Analytics teams to enhance Monthly Cluster/Client Analytics, ensuring that cluster performance visibility is consistently maintained
Drive an country deep dive process, with a primary focus on countries that have a material impact on the balance sheet
Drive NIM/RLAP/ROTCE optimization initiatives in partnership with cluster and country teams, and the Optimization and Pricing Team
Provide support for any ad hoc requests as they might arise from the Balance Sheets Leads, Deposit Team Leads and Cluster Heads
Requirements
7+ years of experience
Experience in Product management and/or Treasury beneficial
Previous experience in cash and liquidity management products and/or client treasury activities
Key interest and discipline in balance sheet, driving business revenues, and turning constraints into opportunities.