About PostBank:

Plan and control the process of the balance sheet balance structure and composition.
Monitor and evaluate the bank’s capital adequacy to ensure that its capital base supports the regulatory capital requirements.
Ensure the timely preparation of the monthly ALCO pack and actively participate as a member of the ALCO committee.
Conduct financial analysis of pricing scenarios for treasury management initiatives.
Review regulatory changes and update the necessary documents & agreements.
Output
  • Accounting