Job PurposeTo support Asset & Liability Management activities through data analysis, reporting and coordination of liquidity and balance sheet monitoring processes, ensuring accurate and timely inputs into ALM decision-making and regulatory reporting.Key Results Areas- Support daily monitoring of liquidity positions, cash flows and funding requirements.- Assist in preparation of ALCO reports, dashboards and supporting analysis.- Maintain and update ALM data, models and reporting templates.- Track liquidity metrics and internal balance sheet indicators.- Support funding cost analysis and balance sheet reporting.- Assist in scenario analysis and stress testing exercises.- Ensure accuracy, completeness and timeliness of ALM data and reporting.- Coordinate with Finance, Risk and Operations for data inputs and alignment.Knowledge, Skills and Experience- Experience in banking, finance and treasury.- Strong understanding of liquidity management, funding and interest rate risk concepts.- Familiarity with financial data analysis and reporting processes.- Strong attention to detail and data accuracy.- Good analytical and problem-solving skills.- Ability to coordinate across multiple stakeholders and functions.Proficiency in Excel and reporting tools.