Head of Treasury - City International Bank
An well established international bank is seeking an experienced Head of Treasury to lead its UK Treasury function (2 reports). Reporting directly to the Chief Financial Officer and working closely with senior stakeholders across Finance, Risk and Executive Management, the successful candidate will take ownership of liquidity management, balance sheet strategy, funding, foreign exchange, interest rate risk and Treasury investment activities. The brand has a balance sheet of nearly £2.5bln in the UKThis is a broad and commercially focused leadership role offering significant exposure to Asset and Liability Committee (ALCO), strategic decision making and regulatory engagement. The position will play a key role in ensuring the Bank maintains a robust liquidity profile, optimises balance sheet performance and operates within its risk appetite framework.Key ResponsibilitiesTreasury Leadership and StrategyLead and develop the Bank''s Treasury function, providing strategic direction across liquidity, funding, investment and balance sheet management.Partner with senior management to support the Bank''s growth objectives through effective capital, liquidity and funding strategies.Maintain a forward-looking view of market conditions, funding opportunities and emerging risks.Provide Treasury expertise and recommendations to Executive Management and Board Committees where required.Asset and Liability Management (ALM)Oversee the Bank''s Asset and Liability Management framework, ensuring ..... full job details .....
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