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グローバル大手証券/ファイナンス部門 Treasury Planning & Analysis /Associate/求人ID:112830

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株式会社コトラ
職種 Treasury Planning and Analysis
ポジション Associate
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20代
30代
40代
50代以上
年収イメージ 年収イメージ:〜1200万円(経験・能力を考慮の上当社規定により決定)
仕事内容 The successful candidate will be a key member in Japan P&A team, managing liquidity risk for Group as well as entities in Japan by implementing Global Treasury policies.

The role will involve:
Managing liquidity risk by applying Nomura’s global liquidity framework in day to-day liquidity risk monitoring and control
Driving ad-hoc projects on the implementation / improvement of Global / Japan liquidity risk framework
Providing necessary analysis and support for discussion with Business Units on Funds Transfer Pricing
Managing BAU relating to regulatory liquidity LCR/NSFR
Supporting the roll out of global Liquidity & transfer pricing changes
Reporting Liquidity Risk Metrics to senior management and corporate committees
必要スキル Self-starter and eager to learn, able to take ownership of issues/ project and drive to completion
Native Japanese Language Skills business level verbal and written, fluency in English communication.
Bachelors preferably Master’s Degree with strong quantitative content. Professional Qualifications (e.g. CIMA, CFA) would be an advantage
4+yrs experience preferably in ALM/ Treasury Funding/Technical Product Control
Core understanding of the key areas of capital, liquidity, risk management within a securities firm/commercial bank would be an advantage
Strong quantitative and analytical skills with statistical techniques, advanced data handling skill (Excel, etc) and documentation / presentation skills (Word, Power point.)
Coding experience would be an advantage
就業場所 東京都
就業形態 正社員
企業名 大手証券会社(本社・ミドル・バック部門)
企業概要 国内大手証券会社
企業PR
業務カテゴリ 財務 金利債券セールス&トレーダー
組織カテゴリ 日系金融機関
備考 - This position is responsible for measuring, monitoring and managing Group’s liquidity risk. Given the regulatory focus on liquidity management,
  Planning and Analysis is a central function within Global Treasury,with firm wide impact.

- It is responsible for implementing Group’s liquidity management policy across business lines and regions; policy is set to ensure compliance with global and local regulatory guidelines.

- In addition, the group is responsible for defining the transfer pricing of cost of funding to Business Lines.

- Candidate will closely work with Treasury Funding, other finance functions as well as other Regional Treasury teams to deliver accurate liquidity risk metrics to Global management and drive improvement projects to ensure changes in Global liquidity risk framework according to evolving regulatory and market environments.
関連キーワード 証券会社 ファイナンス トレジャリー グローバル

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