HO - Senior Manager, Finance Business Partner
- Nơi làm việc
- TP. Hồ Chí Minh
- Hạn nộp
- 31/10/2026còn 21 ngày
- Ngày đăng
- 24/09/20262 tuần trước
- Nhóm vị trí
- Phân tích tài chính, Treasury / ALM
- Bộ phận
- Khối Tài chính
U&Bank không nhận hồ sơ, không thu phí.
Mô tả công việc
JOB DESCRIPTION
1. Finance Business Partnering & Strategic Advisory
Partner with Financial Markets/Treasury leadership, desk heads and Finance management to provide strategic financial insights and commercial advice.
Challenge business assumptions, pricing decisions, resource allocation and strategic initiatives to support sustainable business growth.
Evaluate financial implications and provide recommendations aligned with business objectives and risk appetite.
2. P&L Management & Performance Analysis
Own the finance view of daily, weekly and monthly P&L across Treasury and Financial Markets activities, including FX, rates, fixed income, liquidity and derivatives.
Analyze P&L movements, business drivers, one-off items and run-rate trends.
Provide actionable insights on revenue growth, margin protection and balance sheet efficiency.
3. Financial Planning & Forecasting
Lead budgeting, forecasting, rolling outlooks and scenario analysis in collaboration with FP&A and business teams.
Ensure financial assumptions are commercially realistic and aligned with market outlook, funding conditions and business strategy.
Conduct sensitivity analysis and assess the financial impact of key business scenarios.
4. FTP, Funding Cost & Product Profitability
Support Funds Transfer Pricing (FTP), funding cost analysis and product profitability assessment.
Evaluate risk-adjusted performance, considering funding, liquidity, capital, market risk and operational requirements.
Support business decisions to improve profitability and resource allocation.
5. Balance Sheet, Liquidity & Risk Management
Partner with ALM, Market Risk, Product Control and Financial Control teams to connect financial performance with balance sheet usage, liquidity and risk positions.
Analyze valuation impacts, risk limits and stress indicators to support effective financial and risk management.
6. Management Reporting & Executive Communication
Prepare management reports, dashboards and executive commentary covering financial performance, outlook, risks, opportunities and recommendations.
Translate complex financial and market data into clear, concise and decision-ready insights for senior management.
7. Data Analytics & Process Improvement
Drive reporting automation, data quality improvements, KPI standardization and self-service analytics.
Identify manual processes, reconciliation gaps and reporting inefficiencies, working with Technology and Data teams to implement sustainable solutions.
8. Strategic Initiatives & Governance
Support new product assessments, business cases, pricing proposals and portfolio reviews.
Ensure financial analysis and reporting comply with finance policies, internal controls, audit requirements and governance standards.
JOB REQUIREMENTS
Experience: 8–10+ years of relevant experience in banking finance, FP&A, Treasury Finance, Product Control, ALM, Market Risk Finance or Financial Markets Business Partnering.
Financial Markets Knowledge: Strong understanding of wholesale banking, Treasury products, FX, interest rates, fixed income, derivatives, liquidity, hedging, valuation, FTP, NIM and funding mechanics.
Financial Analysis: Advanced skills in P&L analysis, balance sheet management, budgeting, forecasting, scenario analysis, financial modelling and risk-adjusted performance.
Business Partnering: Strong commercial judgement, stakeholder management and influencing skills, with the ability to challenge assumptions constructively.
Executive Communication: Excellent ability to translate financial performance, market movements and risk indicators into clear insights and recommendations.
Technology & Analytics: Advanced Excel and PowerPoint skills. Experience with Power BI, Tableau, SQL, data visualization and reporting automation is highly desirable.
Professional Competencies: High attention to detail, confidentiality, control discipline, deadline management and the ability to work in a fast-paced financial markets environment.
Nộp đơn ứng tuyển công việc này
Họ & tên bạn *
Địa chỉ email *
Số điện thoại *
Ngày tháng năm sinh *
Trình độ học vấn (Education) *
- - Trình độ học vấn (Education) --Chưa tốt nghiệp (No degree)Phổ thông (High school)Trung cấpCao đẳng (College)Đại học (University/Academy)Thạc sỹ (Master)Tiến sỹ (PhD)Sau đại học (Postgraduate)Khác (Others)
Bạn biết đến cơ hội ứng tuyển này qua kênh nào? *
- - Bạn biết đến cơ hội ứng tuyển này qua kênh nào? --Website tuyển dụng ACBFacebook ACBLinkedIn ACBWebsite việc làmQuảng cáo onlineNgười giới thiệuKhác
- Thông tin thêm
CV của bạn *
Click để chọn & tải lên CV của bạn
Nộp đơn ứng tuyển
Bỏ qua
- ->
{
"@context": "http://schema.org",
"@type": "JobPosting",
"datePosted":"2026-09-24",
"description":"JOB DESCRIPTION
1. Finance Business Partnering & Strategic Advisory
Partner with Financial Markets/Treasury leadership, desk heads and Finance management to provide strategic financial insights and commercial advice.
Challenge business assumptions, pricing decisions, resource allocation and strategic initiatives to support sustainable business growth.
Evaluate financial implications and provide recommendations aligned with business objectives and risk appetite.
2. P&L Management & Performance Analysis
Own the finance view of daily, weekly and monthly P&L across Treasury and Financial Markets activities, including FX, rates, fixed income, liquidity and derivatives.
Analyze P&L movements, business drivers, one-off items and run-rate trends.
Provide actionable insights on revenue growth, margin protection and balance sheet efficiency.
3. Financial Planning & Forecasting
Lead budgeting, forecasting, rolling outlooks and scenario analysis in collaboration with FP&A and business teams.
Ensure financial assumptions are commercially realistic and aligned with market outlook, funding conditions and business strategy.
Conduct sensitivity analysis and assess the financial impact of key business scenarios.
4. FTP, Funding Cost & Product Profitability
Support Funds Transfer Pricing (FTP), funding cost analysis and product profitability assessment.
Evaluate risk-adjusted performance, considering funding, liquidity, capital, market risk and operational requirements.
Support business decisions to improve profitability and resource allocation.
5. Balance Sheet, Liquidity & Risk Management
Partner with ALM, Market Risk, Product Control and Financial Control teams to connect financial performance with balance sheet usage, liquidity and risk positions.
Analyze valuation impacts, risk limits and stress indicators to support effective financial and risk management.
6. Management Reporting & Executive Communication
Prepare management reports, dashboards and executive commentary covering financial performance, outlook, risks, opportunities and recommendations.
Translate complex financial and market data into clear, concise and decision-ready insights for senior management.
7. Data Analytics & Process Improvement
Drive reporting automation, data quality improvements, KPI standardization and self-service analytics.
Identify manual processes, reconciliation gaps and reporting inefficiencies, working with Technology and Data teams to implement sustainable solutions.
8. Strategic Initiatives & Governance
Support new product assessments, business cases, pricing proposals and portfolio reviews.
Ensure financial analysis and reporting comply with finance policies, internal controls, audit requirements and governance standards.
JOB REQUIREMENTS
Experience: 8–10+ years of relevant experience in banking finance, FP&A, Treasury Finance, Product Control, ALM, Market Risk Finance or Financial Markets Business Partnering.
Financial Markets Knowledge: Strong understanding of wholesale banking, Treasury products, FX, interest rates, fixed income, derivatives, liquidity, hedging, valuation, FTP, NIM and funding mechanics.
Financial Analysis: Advanced skills in P&L analysis, balance sheet management, budgeting, forecasting, scenario analysis, financial modelling and risk-adjusted performance.
Business Partnering: Strong commercial judgement, stakeholder management and influencing skills, with the ability to challenge assumptions constructively.
Executive Communication: Excellent ability to translate financial performance, market movements and risk indicators into clear insights and recommendations.
Technology & Analytics: Advanced Excel and PowerPoint skills. Experience with Power BI, Tableau, SQL, data visualization and reporting automation is highly desirable.
Professional Competencies: High attention to detail, confidentiality, control discipline, deadline management and the ability to work in a fast-paced financial markets environment.
",
"employmentType":"Toàn thời gian",
"hiringOrganization": {
"@type": "Organization",
"name": "Ngân hàng Á Châu - ACB",
"sameAs" : "http://www.acbjobs.com.vn"
},
"identifier": {
"@type": "PropertyValue",
"name": "HO - Senior Manager, Finance Business Partner",
"value": "55979"
},
"title": "HO - Senior Manager, Finance Business Partner",
"validThrough":"2026-10-31"
}
Cách nộp
Lấy từ trang tuyển dụng của ACB (acbjobs.com.vn) · kiểm tra 09/10/2026Báo cáo tin
