주요업무
• Contribute to the design and management of the firm’s global entity footprint optimizing liquidity and capital resources
• Develop and maintain liquidity and capital management policies
• Raise funding for the firm and work closely with the global funding team in managing the firm's liquidity
• Develop and iteratively optimize the firm’s funding strategy, considering cost, channel diversification, maturity concentration, and impact to key liquidity and capital metrics, with a focus on Korean entities
• Build models, develop analytical frameworks, and conduct scenario analysis to help inform marginal liquidity and capital management and financial resource allocation decisions
• Act as a primary point of contact for revenue divisions in Korea and broader APAC, through Treasury’s global “business coverage” model
• Partner with key stakeholders in Global Banking & Markets and Asset & Wealth Management to deploy the firm’s balance sheet, and to facilitate new activities
• Develop reporting for, and present analyses of, subsidiary-level funding plans, for use by internal and external stakeholders, including senior management and regulators
• Engage with external stakeholders including regulatory agencies, ratings agencies, and funding counterparties in various forums
• Develop meaningful partnerships with internal stakeholders; develop tools to enhance decision-making capabilities