Assist unit head market & liquidity risk in identifying, assessing, monitoring & reporting of liquidity risk as per SBP Basel III liquidity risk framework/BOD approved liquidity policy.
Maintain in-house and excel based MIS of treasury middle office. Daily retrieval and compilation of banking and liquidity risk data to prepare reports for ABG/ALCO/SBP.
Monitor treasury transactions/line & limits on a daily basis to ensure compliance of regulatory/internal limits.
Prepare liquidity coverage ratio (LCR) and net stable funding ratio (NSFR) returns for ALCO/ABG/SBP.
Ensure the Bank is not exposed to any unwarranted risk, by implementing internal controls and accountability at each level.
Ensure meticulous compliance with bank policies, processes, procedures and Regulator’s requirements and coordinate for Internal & external audit, SBP inspection, Review by compliance or other regulatory bodies.
To undertake any other duties as required by the Bank.