Treasury Strategy and Policy Manager - London, United Kingdom - eFinancialCareers
Description
Join us as a Treasury Strategy & Policy Manager- This is a unique opportunity to assist with setting the bank's capital or liquidity & funding strategy and associated risk appetite
- We'll look to you to create capital or liquidity & funding management policies and associated processes
- You'll benefit from valuable exposure to senior management, boards and regulators, as well as the opportunity to harness your treasury expertise
What you'll do
As a Treasury Strategy & Policy Manager, you'll be developing, agreeing and communicating policies and processes in respect of capital, or liquidity & funding.
We'll look to you to assist with recommending appropriate associated risk appetites to legal entityrisk committees and boards, while also setting appropriate risk measures and supporting the limits framework.
You'll also be:
- Assisting with the distribution of regulatory development updates and making sure they're embedded and considered within the bank's plans
- Understanding and advising on industry norms, peer positions and driving best practice in global capital, or liquidity & funding management as a result
- Key point of contact on capital or liquidity & funding related matters
- Providing support and challenge to forecasting teams, including compliance with policies and risk appetite
- Support the drive for capital, or liquidity & funding efficiency by contributing to recommendations of relevant actions
The skills you'll need
To succeed in this role, you'll need a strong understanding of banking regulatory frameworks, or a demonstrable ability to quickly develop this, and a commercial mindset is also advantageous.
The role holder will also require an ability to interpret, transposeand communicate this understanding to an array of stakeholders across various contexts.
You'll therefore also need strong interpersonal and communication skills, with the ability to work well across different teams and levels of seniority.
Previous experience of Balance Sheet Management (Capital, Liquidity, Funding, FTP, ALM) or treasury management would be advantageous.In addition, you'll need:
- The ability to project manage or support adhoc project work
- Good computer skills, including PowerPoint and Excel
- Strong analytical skills, with the ability to think strategically
- The ability to handle change in a dynamic environment
- To display behaviours in line with our Critical People Capabilities
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