Job Description :
- Ownership of the Treasury RWA & Leverage results and outlooks across BI and BUK; this will include presentations to senior Treasury stakeholders on a minimum of a fortnightly basis
- Manage & be accountable for the analysis and reporting of all RWA and Leverage forecasting across BI, BUK, and Group. This will involve partnering with key stakeholders to ensure accurate, efficient, and timely delivery within MTP and Stress Testing deadlines
- Build & manage relationships between the team and key BP&A & Treasury colleagues across Group, BI, and BUK to ensure full-service offering
- Provide Treasury Finance support for the ERRP project, working to ensure a smooth transition process for Treasury Finance
- Review and ownership of daily and monthly deliverables such as PRA submissions
- Partner with the desk and CALM to prepare value to add commentary and to assist with the impacts associated with new Capital targets
Person Specification :
- Personal attributes essential to performing role including competencies, expertise, knowledge, and experience.
- Specific experience in Treasury / Funding, Money Markets, or Line PC preferred
- Experience in P&L and BS modeling & large data analysis with strong excel skills
- Detailed understanding of products used by the Treasury to manage capital requirements
- Demonstrate an appreciation of controls, process enhancement, and improvement
Essential Skills/Basic Qualifications :
- Numerical degree (2.1 or above) or equivalent
- Qualified accountant ACA, CIMA or equivalent
- Financial services background and/or equivalent
Desirable skills/Preferred Qualifications :
- Experience in partnering with trading staff and & others of infrastructure as required
- Confidence in reporting to senior stakeholders (business leads)
- Up to date knowledge of capital and liquidity considerations affecting the banking sector
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