Vacancies: Capacity Building for SME’S, Head (Treasury and Wealth Management)
A Financial Institution Looking for Qualified candidates to fill the following positions below:
Position: Capacity Building for SME’S
Job Description:
- Enhance the business capabilities of local enterprises by helping them to leverage on existing/ new programmes and initiatives.
- Provide the platform to match-make successful business mentors with mentees that are keen to grow beyond their present scale.
- Provide a comprehensive training and coaching platform to help enterprise achieve higher productivity.
- Work with multiple stakeholders including government agencies, associations/federations and enterprises to achieve the success for the respective programmes.
- Enhance the business capabilities of local enterprises by helping them to leverage on existing/ new programmes.
- Assist enterprises in building up knowledge in financial aspects through workshops, advisory and implementation.
- Help enterprises in establishing new or reviewing of internal controls to ensure compliance with corporate policies
- Execute necessary processes to ensure the success for all projects. Knowledge of accounting principle in ensuring enterprises comply with all accounting tax, legislative and regulatory requirement is a must.
Qualifications:
- University degree in any field with preferably 3 to 7 years experience in designing, implementing and evaluating development programs at national and state level, including market development of relevant working experience.
- Experience in training and monitoring.
- Excellent communication skills-written.
- Able to communicate, engage and deliver effectively within the project team and all stakeholders
- Meticulous, a self-starter and has good organizational skills
- Able to multi-task and work independently under tight deadlines
- Analytical and possess good interpersonal and communication skills.
Position: Head, Treasury and Wealth Management
The Job:
- General liabilities and notes only and introduce credit customers to the relevant unit
- Manage our forex transactions
- Generating deposit liabilities from both corporate and individual clients in line with agreed individual targets
- Constructing and rebalancing an efficient investment portfolio for both treasuring clients and the company with a view to meeting agreed returns objectives.
- Ensure smooth business relationship with all treasury portfolio clients and other counter parties.
- Maintaining and ensuring daily updates of Investments Register for both money and capital markets transactions, as well as foreign exchange dealings.
- Ensuring prompt preparation of investment deal slips and letters in respect of each deposit / managed fund to be dispatched not later than 2 days after receipt of value for funds in company’s account.
- Ensuring timely preparation of investment/treasury reports for management meetings to be mailed to recipients e-mail addresses not later than 5:30pm of the day proceeding the meeting day.
- Ensure monthly preparation of accurate investment schedules and confirm agreement with investment balances in the General Ledger.
- Supervise and co-ordinate staff activities in the Treasury dept and ensure cordial relationship amongst them.
- Assist management in Strategic planning
- Market the products and services of the Firm for liability/deposit mobilization.
- Develop the group’s budget and ensure adequate execution and achievement of yearly target.
Qualification:
- Minimum of 3-7 years working experience within Core Banking areas such as Treasury. Risk Management, Wealth Management, etc
- Professional qualification will be preferred
- An MBA will be a plus
- Experience in Strategy and the financial services sector will be desirable
How to Apply:
Qualified candidates should send their resume to: opportunities001@yahoo.com
Applications close on 19th March 2012.