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Capital Balance Sheet Management Manager

(Finance Manager )

WING BANK (CAMBODIA ) PLC
Boeng Keng Kang | Phnom Penh
  1 帖子
Verified This job has been verified by the company as a real job vacancy. 5 天前
招聘人员活跃5 天 前 The recruiter at this company was last active reviewing applications.
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Capital Balance Sheet Management Manager

(Finance Manager )

WING BANK (CAMBODIA ) PLC
招聘人员活跃5 天 前 The recruiter at this company was last active reviewing applications.
Cambodia - Phnom Penh
Verified This job has been verified by the company as a real job vacancy.

经验水平

Manager

工作职能

Finance, Accounting, Audit

就业行业

Banking/ Insurance/ Microfinance

最低教育水平

Bachelor Degree

工作类型

Full Time

职位描述

A Good Opportunity for ..

1 Maintain regulatory capital adequacy in compliance with NBC requirements 

1.1 Monitor Capital Adequacy Ratio (CAR) and key capital metrics against NBC and requirements. 

1.2 Identify early warning indicators and recommend actions to prevent capital breaches.

1.3 Coordinate with Finance, Treasury, and Risk teams to review capital calculations and regulatory submissions. 

2 Deliver ICAAP and capital planning in line with regulatory and internal timelines

2.1 Lead the preparation, update, and submission of ICAAP documents and supporting schedules.

2.2 Develop capital plans aligned with business growth, risk appetite, and regulatory expectations. 

2.3 Consolidate stakeholder inputs and ensure approvals are obtained within required timelines. 

3 Optimize balance sheet structure to improve capital efficiency and profitability 

3.1 Analyze balance sheet structure including funding mix, asset yield, and liability cost drivers.

3.2 Assess capital consumption by products/business units and recommend capital allocation improvements.

3.3 Evaluate impact of new products, credit policy changes, and strategy decisions on capital efficiency.

4 Ensure accurate capital forecasting and stress testing to support decision-making 

4.1 Prepare capital forecasts under base case and stress scenarios, including key assumptions and drivers. 

4.2 Perform stress testing to assess capital resilience under adverse conditions. 

4.3 Recommend mitigation actions based on forecast outcomes and stress testing results. 

5 Provide timely and accurate capital and ALCO reporting to management 

5.1 Prepare ALCO papers, capital utilization analysis, and balance sheet metric dashboards. 

5.2 Present capital and balance sheet insights to management and committees with clear recommendations. 

5.3 Coordinate with Treasury, Finance, Risk, and Business Units on reporting requirements and decisions.

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回国
Male/Female

职位要求

  • Bachelor’s degree in finance, Banking, Economics, or related fields
  • Minimum 5+ years' experience in Treasury, Finance, ALM, or Risk Management 
  • Experience preparing ALCO materials and management papers 
  • Experience in capital planning, forecasting, and regulatory reporting 
  • Experience engaging with regulators or auditors is an advantage

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亮点

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工作机会

  • 机会晋升
  • 职业培训机会
  • 学习新技能和技巧