I am
a Chartered Accountant with over eight years of experience across treasury operations,
finance, and audit, primarily within global banking institutions including HSBC and
Barclays.
In my most recent role as Manager in Treasury Finance at HSBC, I was responsible for
managing daily cash positioning and FX risk exposure. I have extensive experience in ,
intercompany funding, and money market operations, consistently ensuring optimal
liquidity levels while maintaining zero risk limit breaches. My role also involved close
coordination with various stakeholders to support efficient treasury operations and
decision-making.
Additionally, I have led ALCO reporting for senior management, providing insights into
liquidity ratios, funding positions, and risk exposures. I have a strong focus on process
improvement, having implemented automation initiatives that significantly enhanced
efficiency and accuracy in treasury processes.
During my tenure at Barclays, I further strengthened my expertise in liquidity risk
management, including LCR and fund transfer pricing, along with ownership of month-end
treasury reporting and performance analysis.