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Treasury Manager

Employer
Networker Global Limited
Location
South East London, London, United Kingdom
Salary
Competitive Salary
Closing date
Jan 25, 2025
View more categoriesView less categories
Job Role
Treasury
Sector
Finance
Contract Type
Permanent
Hours
Full Time
Briefing Call - Treasury Manager
Rate: Inside IR35 via Umbrella company


Location:
London Hybrid 2 days in the office
Duration: 6 months

Role Summary:


Our client are looking for a treasury manager treasury have a critical role to play in that growth, safeguarding that we are operating within out risk appetite and regulatory limits and ensuring that we are fuelling our growth in the most optimal way. The treasury function is evolving, and we need an energetic and talented individual to support that evolution.

Key Responsible

Evolve Risk Identification/Measurement by:
o Streamlining our capital forecasting tools to reflect dynamic/continuous stress testing.
o Partnering with wider finance and front-line teams to support evolution of our Early Warning Indicators.
o Evolving our existing suite of IRRBB EUCs to better capture optionality risk.
o Validating the accuracy/appropriateness of the data sources we rely upon for our risk assessment.
Support Risk management/optimisation by:
o Producing tools that support analysis of potential RWA reduction.
o Working product partners to ensure that the product pricing framework accurately captures risk and cost of funds.
o Collaborating with group colleagues to analyse the usage of Deposit Stability Models and assess whether it can be adopted by HINV.
Enhance additional data/decision making capability by automating:
o The production of a Structural Hedge dashboard
o A Cost of Funds dashboard
o An exceptional pricing database/tracking tool
Making Treasury as a function more efficient by:
o Streamlining our tools
o Documenting procedures
o Developing central controls library

Knowledge and Experience:

Highly numerate individual professional qualifications such CFA, CertBalm, FRM, AMCT, Accounting or other relevant option desirable
Evidenced experience of bank treasury capital, funding, liquidity and/or IRRBB desirable.
Key understanding of profit drivers and balance sheet risks
Ability to analyse data and identify opportunities and areas of improvement.
Excel modelling experience
Articulate communicator bother spoken and written.
Experience of influencing a range of stakeholders particularly through governance/committee processes.
Excellent stakeholder management.

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