- Responsibilities
Providing strategic leadership and oversight of the Bank’s Treasury, Financial Markets and Financial Institutions functions.
Managing the Bank’s balance sheet, liquidity, funding, capital markets activities, investments, foreign exchange business, and market risk exposures, while ensuring sustainable profitability and compliance with all applicable regulatory requirements.
Drive the Bank’s treasury growth strategy by developing innovative financial market solutions, strengthening relationships with local and international financial institutions, optimising funding and liquidity structures, and maximising treasury revenue.
Provide strategic advice to Executive Management and the Board on treasury and financial markets, balance sheet management, and prevailing economic and market trends.