Director, Financial Planning, Analysis & Treasury
Provide leadership over treasury risk management and securitization, including asset‑liability management, interest rate risk, liquidity, and financial modelling. The role ensures regulatory compliance and alignment of treasury activities with SCU’s strategic priorities.
Specific Responsibilities
- Advanced expertise in asset‑liability management (ALM), including balance sheet modelling, forecasting and financial analysis.
- Strong capability in interest rate risk (IRR) management, including monitoring and reporting (EAR, NEV).
- Experience developing and executing hedging strategies to manage financial risk.
- Proven ability to perform liquidity forecasting and risk management within policy frameworks.
- Knowledge of treasury regulatory requirements and demonstrated compliance experience.
- Experience overseeing securitisation programmes, including alignment ...