Senior Manager - Treasury Capital Management - eFinancialCareers
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Added before 4 Days
- England,London,City of London
- Full Time, Permanent
- Competitive salary
Job Description:
The Capital Management team in the Treasury division of one of our high impact Banking clients have identified the need to add a high performing Senior Manager level person to the team. This person will work on rotation around a selection of interesting Capital roles within this part of the Treasury. It’s a rare opportunity at this level to come in and shape a rotation programme across front and middle office areas of Capital. 3 days a week in the London office and WFH available for the rest of the time
*Role Description Development and implementation of strategies to manage the bank’s capital position, including setting of capital targets, development of capital plans, and monitoring of capital adequacy
*Optimisation of the bank’s capital structure to support the bank’s growth and profitability objectives, including management of the bank’s exposure to regulatory capital requirements
*Allocation of capital to business units and projects based on risk-adjusted returns and other financial metrics
*Preparation and provision of regular reports on the bank’s capital position, capital allocation decisions, and stress testing results to senior colleagues, risk committees, and regulatory authorities
*Communication of capital management strategies and risk considerations to relevant stakeholders
*Role Requirements To be considered for this role you will have previous experience in a Treasury capital position and need to have regularly received the highest performance ratings
*You will have excellent communication (both written and verbal) and business partnering skills
*It would be advantageous to have experience interpreting regulatory requirements and ensuring their effective implementation
*Role Description Development and implementation of strategies to manage the bank’s capital position, including setting of capital targets, development of capital plans, and monitoring of capital adequacy
*Optimisation of the bank’s capital structure to support the bank’s growth and profitability objectives, including management of the bank’s exposure to regulatory capital requirements
*Allocation of capital to business units and projects based on risk-adjusted returns and other financial metrics
*Preparation and provision of regular reports on the bank’s capital position, capital allocation decisions, and stress testing results to senior colleagues, risk committees, and regulatory authorities
*Communication of capital management strategies and risk considerations to relevant stakeholders
*Role Requirements To be considered for this role you will have previous experience in a Treasury capital position and need to have regularly received the highest performance ratings
*You will have excellent communication (both written and verbal) and business partnering skills
*It would be advantageous to have experience interpreting regulatory requirements and ensuring their effective implementation
Job number 3443652
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