Head of Balance Sheet Management, Retail Bank recruitment

Responsibilities

• Develop business relationships with key stakeholders in the UK Retail Division

• Provide pro-active support to Product Teams and Finance Decision Support staff to ensure interest rate risk, fx and liquidity considerations are embedded within decision making

• Understand and implement methodologies and frameworks to ensure that interest rate and liquidity risks are adequately recognised in product reward mechanisms

• Contribute to and assess new product developments in the UK Retail Division from a treasury risk perspective

• In conjunction with the Retail Treasurer,  drive the agenda for and prepare and present papers to the UK Retail ALCOs 

• Act as secretariat for the UK Retail Wealth and UK Retail ALCOs and sub-committees 

• Design a reporting framework and oversee ongoing regular reporting of key treasury risk exposures to the Retail Executive

• Consult divisional stakeholders on prospective regulatory developments affecting treasury risk management and ensure their views are represented to those functions dealing directly with regulators

• Contribute to the formulation of execution of the core objectives of Retail Treasury as a key member of the management team

Experience

• Significant treasury/asset and liability management experience with up to date technical awareness

• Experience in a relationship management role desired

• Understanding of evolving regulatory balance sheet frameworks (FSA and Basel)

• Commercial awareness and business acumen