Treasury Manager - Risk and Liquidity
Treasury Manager - Risk and Liquidity job London within large financial services
Your new company
A large financial services firm is looking for a Treasury Manager to join the treasury team to focus on cash and liquidity management, capital planning, and risk management. This role will have you working within finance supporting the treasurer and taking ownership of monitoring credit, liquidity and market risk, stress testing, regulatory reporting, capital adequacy and managing firm money, along with client money.
Your new role
This role will have you working with team across the business giving you exposure to senior management. You will take ownership for financial risk management including monitoring counterparty exposure, managing liquidity resources, designing stress testing and managing market risk exposures. You will also be responsible for regulatory reporting, stress testing including capital stress testing and analyse the capital resources ensuring coverage of regulatory capital ratios. You will also take ownership of cash and liquidity management and ensuing the effective use of banking resources.
What you'll need to succeed
You will ideally be a qualified accountant with knowledge of the regulatory frameworks related to capital and liquidity. Your reporting experience will ideally include risk, liquidity and capital adequacy which you will have gained either within financial services or within an accounting or advisory firm.
What you'll get in return
This is the opportunity to further build on your experience and gain further exposure within treasury working closely with senior management.
What you need to do now
If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.
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This job was originally posted as www.totaljobs.com/job/77620263