Group Head of Corporate Treasury recruitment

Group Head of Corporate Treasury 

Our client is a premier bank with diverse businesses and strong commitment to grow in the region. It is looking for a dynamic professional to be the Group Head of Corporate Treasury.

This is a highly visible role with frequent interaction with senior management. Reporting to the Group CFO, you will provide strategic oversight of the Group’s overall asset and liability position; including the short and medium term funding requirements, reserve assets requirements and structural interest-rate profile of the banking book. You will establish optimal and well diversified target funding mix both at Group and key locations in terms of investor types, regions, products and instruments. You will analyze and monitor the interest rate and liquidity profile and trends of the ALM book, and drive the Group’s internal funds transfer pricing policies and implementation. You will closely with the various execution desk within Group Treasury to ensure successful implementation of the intended corporate treasury plan; and work closely with Capital Management team in capital raising activities; and Corporate Investment team in excess funds deployment.

Degree qualified, you will have a proven track record in a leadership and senior management role in a reputable bank. You will have an extensive experience in the treasury and capital markets space, particularly in the corporate treasury function. With strong product knowledge, communication and influencing skills, you are commercial, strategic, highly credible and solutions-oriented.

To apply, please submit your resume to Adnan Atan at aa@kerryconsulting.com, quoting the job title and reference number AA4268. Due to high volume of applications, only shortlisted candidates are notified.