Money Market Dealer, Funding & Liquidity
- Assist the Head of the Section in the management of the funding, liquidity and balance sheet of the Bank, including Islamic Treasury.
- Seek to yield optimal funding mix and sound balance sheet management.
- Ensure the Bank is in compliance with required regulatory requirements on capital, reserves and other liquidity ratios.
- Analysis of liquidity cash-flows, interest rate gaps and income attributions
- Assist in the operations of the FTP Policy.