Posted By
Posted in
Banking & Finance
Job Code
1568793
Our client is a well-established international bank with a strong presence in both emerging and developed markets. It provides a wide range of services in retail, corporate, and institutional banking. The bank is known for its focus on responsible growth, strong risk management, and a collaborative work culture.
Some of the key responsibilities will include:
- Lead planning and forecasting across Capital, RWA, Liquidity, and NIM, ensuring strategic alignment.
- Provide clear, executive-level reporting and insights to the Group Treasurer, CFO, and FP&A teams.
- Oversee a robust and cost-efficient funding strategy in collaboration with Treasury.
- Provide robust challenges with business forecasts, identifying key risks and opportunities to enhance financial outcomes.
- Manage, coach, and develop a team of 10-12 professionals, fostering a culture of excellence and accountability.
To be eligible for this role you will require:
- Minimum 10 years of Treasury experience, with a strong focus on capital, liquidity, and interest rate risk management.
- At least 3 years in a Vice President or equivalent leadership role, with a proven track record of managing high-performing teams and delivering on strategic objectives.
- Solid expertise across IRRBB, RWA, CET1, NSFR, Leverage Ratio, and NIM.
- Excellent stakeholder management and communication skills along with Strong background in forecasting, financial planning, regulatory & strategic Treasury.
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Posted By
Posted in
Banking & Finance
Job Code
1568793