VP/Director Treasury
My client is looking to hire a number of Treasury professionals into its market-leading team. They are looking for candidates who have knowledge of areas such as funding, liquidity, balance sheet management and derivative products. The function is responsible for the integrity of the bank's funding models; stress testing and term funding as well as regulatory LCR.
This is not a reporting team, therefore candidates will need to have excellent communication and negotiation skills.
Responsibilities include:
- The candidate taking this role will be responsible for coordination around further development and implementation of the liquidity management and funding framework. This will predominantly evolve around, but not be restricted to, the Bank's stress test models
- The successful candidate will also manage a team of two staff responsible for liquidity analysis in relation to the bank's securities positions including fixed income, equities, prime brokerage and commodities businesses.
- This involves unencumbered securities, repo / securities lending, ABCP conduits and other SPVs, and precious and base metals trading analysis.
- The role will involve liaison with front office business and other risk management areas as well as auditors and regulators. The role does not have a specific daily reporting output; rather it involves constant exploration of liquidity risk management issues within the business functions allocated and leading projects.
Skills required:
- The incumbent will be expected to have a detailed understanding of industry practices and ideally have previous hands-on experience in managing (contingent) liquidity risks in the repo, sec lending, and/or prime brokerage businesses.
- The successful candidate will have a number of years' experience within a Treasury department or business unit of an investment bank's capital markets division.
- Significant interaction and experience with securities trading businesses.
- High aptitude with respect to topical issues in capital and liquidity regulation such as Basel III and CRD IV.
- Ability and experience to organise and lead across different time zones and cultures.
- Excellent communication and presentation skills.
- Strong analytical and problem-solving skills and demonstrated ability to work independently.
- Ability to interface with business units and senior stakeholders.
Global Investment Bank
Apply below or to find out more about the VP/Director Treasury - Liquidity/Funding job contact Anna Purves on anna.purves@robertwalters.com or call +44(0) 207509 8745 quoting the reference 1905090.
Leave a Reply
You must be logged in to post a comment.