ID del contrato
This position is within HSBC Markets Treasury (MKTY) who act as the street-facing arm of the Treasury function. The team is responsible for the management of Cash, Funding, Liquidity and Interest Rate risks which underpin the overall objective of the HSBC Turkey business to maximize profitability, client driven and professionally managed asset growth. This role is pivotal to the Markets initiatives within the MENAT region.

Some of the key responsibilities of the role holder are:
• Cash Management, ensure surplus cash is deployed and deficits are financed at the best terms for the bank
• Funding Management: Execution and completion of short- and medium-term funding plans on behalf of the bank / entity
• Liquidity Management. Ensure that the bank / entity will always be able to meet its current and potential cashflow obligations, at a reasonable price and without incurring significant commercial and reputational risk
• Management of the entity’s Liquid Asset Buffer (LAB, within the risk appetite defined via the LAB Committee) ensures this continues to be available for monetization purposes even during a stress scenario
• Interest Rate Risk Management. Actively manage interest rate risk positions on MKTY books including HTCS (Hold-to-Collect and Sale) and HTC (Hold-to Collect) under ALM approved transfer pricing principles
• Management of the market risks resulting from the term interest rate buy-in and the LAB with a view of optimizing revenues but not at the expense of liquidity
• Help build effective governance structures, processes and controls are in place and meet Group standards
• Support the business in the delivery of overall business objectives as set out in the annual Global performance scorecard. These include measures around financial targets (Revenues, Costs, RWAs) as well as non-financial measures / obligations centered around Liquidity Risk Management, and Risk and Compliance-related topics (e.g. Conduct, operational risk)
• Ensure the business operates with the confinements of the agreed risk appetite and in full compliance with all Group and Regulatory requirements
• Help drive the business forward by championing transformation and changing related initiatives including both execution and embedding
• Key in helping to manage regulatory, liquidity, interest rate and funding risk whilst operating within a strict control environment / limit framework and in doing so, optimizing profitability
• Undertaking Analytics and provisioning accurate data in a timely manner

Postulación
• Demonstrate strong business and market knowledge, ideally experience of working in complex business unit with accountable revenue target
• Demonstrate knowledge of technological development and infrastructure and how this can be used to meet business needs
• Good communication skills required to converse with colleagues and senior management globally
• Minimum 1-3 years’ work experience in the related area; preferably business administration, economics, mathematics, engineering, finance or science degrees
• Commercial, Financial, Accounting and Managerial acumen
• Ability to manage and mitigate operational risk effectively
• Experience of managing within a complex matrix and diverse environment together with geographically dispersed team
• Understanding of the HSBC Group and its strategy, structures and processes
• Knowledge of the external environment - regulatory, political, competitor and markets
• Ability and willingness to work closely with Regional Teams whilst sharing knowledge and responsibilities

Nombre del recruiter
Zeynep Altıntaş
Email del recruiter
zeynepaltintas@hsbc.com.tr