• Accountable for planning up to implementation of deposit related fees, FCY deposit and projects
• Plan deposit related fees’ income and ensure to meet the plan
• Review our fee rate pricing regularly
• Enhance our product features and service delivery to maintain our competitiveness as well as to comply with changing regulations, if any.
• Co-operate with cross-functional team for new initiatives (i.e. package bundling deposit product with special fee rates or other benefit, new initiative from BTMU-JP, etc.)
• Ensure legality of launched projects, initiatives and product packages; i.e. renewal of agreement, renewal of RPT, renewal of special fee rates, etc.
• Supervise/coach team to achieve department target