HO - Senior Manager, Finance Business Partner

HO - Senior Manager, Finance Business Partner

JOB DESCRIPTION

1. Finance Business Partnering & Strategic Advisory

  • Partner with Financial Markets/Treasury leadership, desk heads and Finance management to provide strategic financial insights and commercial advice.

  • Challenge business assumptions, pricing decisions, resource allocation and strategic initiatives to support sustainable business growth.

  • Evaluate financial implications and provide recommendations aligned with business objectives and risk appetite.

2. P&L Management & Performance Analysis

  • Own the finance view of daily, weekly and monthly P&L across Treasury and Financial Markets activities, including FX, rates, fixed income, liquidity and derivatives.

  • Analyze P&L movements, business drivers, one-off items and run-rate trends.

  • Provide actionable insights on revenue growth, margin protection and balance sheet efficiency.

3. Financial Planning & Forecasting

  • Lead budgeting, forecasting, rolling outlooks and scenario analysis in collaboration with FP&A and business teams.

  • Ensure financial assumptions are commercially realistic and aligned with market outlook, funding conditions and business strategy.

  • Conduct sensitivity analysis and assess the financial impact of key business scenarios.

4. FTP, Funding Cost & Product Profitability

  • Support Funds Transfer Pricing (FTP), funding cost analysis and product profitability assessment.

  • Evaluate risk-adjusted performance, considering funding, liquidity, capital, market risk and operational requirements.

  • Support business decisions to improve profitability and resource allocation.

5. Balance Sheet, Liquidity & Risk Management

  • Partner with ALM, Market Risk, Product Control and Financial Control teams to connect financial performance with balance sheet usage, liquidity and risk positions.

  • Analyze valuation impacts, risk limits and stress indicators to support effective financial and risk management.

6. Management Reporting & Executive Communication

  • Prepare management reports, dashboards and executive commentary covering financial performance, outlook, risks, opportunities and recommendations.

  • Translate complex financial and market data into clear, concise and decision-ready insights for senior management.

7. Data Analytics & Process Improvement

  • Drive reporting automation, data quality improvements, KPI standardization and self-service analytics.

  • Identify manual processes, reconciliation gaps and reporting inefficiencies, working with Technology and Data teams to implement sustainable solutions.

8. Strategic Initiatives & Governance

  • Support new product assessments, business cases, pricing proposals and portfolio reviews.

  • Ensure financial analysis and reporting comply with finance policies, internal controls, audit requirements and governance standards.

JOB REQUIREMENTS

  • Experience: 8–10+ years of relevant experience in banking finance, FP&A, Treasury Finance, Product Control, ALM, Market Risk Finance or Financial Markets Business Partnering.

  • Financial Markets Knowledge: Strong understanding of wholesale banking, Treasury products, FX, interest rates, fixed income, derivatives, liquidity, hedging, valuation, FTP, NIM and funding mechanics.

  • Financial Analysis: Advanced skills in P&L analysis, balance sheet management, budgeting, forecasting, scenario analysis, financial modelling and risk-adjusted performance.

  • Business Partnering: Strong commercial judgement, stakeholder management and influencing skills, with the ability to challenge assumptions constructively.

  • Executive Communication: Excellent ability to translate financial performance, market movements and risk indicators into clear insights and recommendations.

  • Technology & Analytics: Advanced Excel and PowerPoint skills. Experience with Power BI, Tableau, SQL, data visualization and reporting automation is highly desirable.

  • Professional Competencies: High attention to detail, confidentiality, control discipline, deadline management and the ability to work in a fast-paced financial markets environment.

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