Head of Treasury Risk
The Candidate
- Strong communication, negotiating and influencing skills
-Resilience and ability to influence/operate at a Senior Management and Executive level.
-Strong business and leadership skills with extensive knowledge of the financial services market.
-Ability to thrive in a changing business and risk environment
-Clarity of thought, precision and confidence in the execution of agreed policies, standards and programmes of activity.
-A higher qualification in a quantitative discipline such as Mathematics or Finance (or equivalent professional qualification in risk, treasury or finance).
-Extensive risk management and treasury network
-Deep knowledge and expertise of best practice techniques in the industry covering Non-Traded Market Risks, FTP, ALM, liquidity and finance risk management.
-Demonstrate knowledge of understanding of relevant regulations (e.g. ILAA).
-Experience managing regulatory relationships and issues.
-Appropriate business liquidity risk experience (including ILAS reporting, risk measurement, stress testing and building an ILAA).
This role is a senior appointment within the company and as such will command a very competitive basic salary, annual bonus and benefits package.
Interested and suitably qualified candidates should contact Hazel Cameron on +44 7860 286 916 or e-mail hazel@hornbychapman.com
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