alohaconsulting1mo ago
New
New
Head of Treasury (Giám đốc khối Nguồn Vốn)
Finance & AccountingTreasury
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Quick Summary
Requirements Summary
Money markets, foreign exchange, gold, and bonds; Asset and Liability Management (ALM); Liquidity, interest rates, exchange rates, and financial market pro
Technical Tools
Finance & AccountingTreasury
ACG_3629_JOB Our client, a fast-growing bank in Vietnam, is looking for a qualified candidate to join their firm. 1. Strategic Planning & Business Management Develop the growth strategy for the Treasury and Financial Markets Division in alignment with the Bank’s development direction. Direct, manage, and oversee all business activities of the Centers under the Division. Develop business plans and revenue/profit targets, and organize their implementation. Propose solutions to enhance capital utilization efficiency, optimize the asset–liability structure, and improve the performance of financial market activities. 2. Financial Markets Management Direct interbank funding, liquidity management, investment, and securities trading activities. Manage foreign exchange, gold, and derivative/financial product trading activities in accordance with applicable regulations. Monitor fluctuations in the money market, interest rates, exchange rates, and macroeconomic trends to establish appropriate business directions. Develop new products and business solutions in the treasury and financial markets sectors. 3. Risk Management & Compliance Control market risk, liquidity risk, and other risks related to treasury operations. Ensure that the Division’s activities comply with the regulations of the State Bank of Vietnam, applicable laws, and internal regulations. Coordinate with risk management, finance, accounting, and audit units in controlling and monitoring operations. Requirements Qualifications & Experience Bachelor’s degree or higher in Finance, Banking, Economics, Investment, or a related field. At least 10 years of experience in Treasury, Capital Markets, or Financial Markets at major banks or financial institutions. At least 5 years of senior management experience or equivalent. In-depth knowledge of: Money markets, foreign exchange, gold, and bonds; Asset and Liability Management (ALM); Liquidity, interest rates, exchange rates, and financial market products. Preference will be given to candidates with experience in developing treasury business strategies and managing large investment portfolios. Skills Strong leadership, management, and decision-making skills. Strategic thinking and strong sensitivity to financial market movements. Strong analytical, risk management, and problem-solving skills. Strong negotiation skills and the ability to build relationships with partners and regulatory authorities. Good English proficiency is an advantage. Contact: Thang Nguyen Due to the immense number of applicants, only shortlisted candidates will be contacted.
Location & Eligibility
Where is the job
Hanoi, Vietnam
On-site at the office
Listing Details
- Posted
- June 17, 2026
- First seen
- June 17, 2026
- Last seen
- July 3, 2026
Posting Health
- Days active
- 0
- Repost count
- 0
- Trust Level
- 52%
- Scored at
- June 17, 2026
Signal breakdown
freshnesssource trustcontent trustemployer trust
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