Head of Balance Sheet Management, Treasury recruitment
Responsibilities• Represent the bank’s UK Balance Sheet Management to FSA• Maximise income on Commercial Balance Sheet and net structural position, by proactively identifying profitable strategies. • Manage the structural FX exposures generated around the Group against risk limits using a combination of spot and forward FX transactions • Provide transfer pricing strategy across the UK balance to ensure pricing decisions reflect funding and liquidity costs.• Assist retail divisions to structure and price retail products and ensure that customers are charged to compensate for risks Read more […]
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, Read more […]