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Our Financial Services Client based in Leicester are looking for a Treasury manager. This organisation operates a hybrid working policy.
The Role:
Manage the organisations treasury management function- interest rate risk management, ALM, and financial risk management.
Responsible for the organisations capital, liquidity and ALM including treasury management systems implementation, financial data integrity and control, monitoring and reconciliation.
Ensure all treasury risks are identified and managed.
Ensure treasury management policies are documented and reviewed regularly.
Line management responsibility of a small team.
Key Skills / Experience:
Experience in a similar Treasury / Treasury Risk / Market Risk related role within Financial Services.
Strong understanding of treasury operations, risks and their impact on balance sheet, PnL account and pressures.
Experience in managing interest rate risk and execution of interest rate derivatives.
Experience in evaluating and implementing ALM-related risk mitigation activities, and alternative structures to support profitable balance sheet growth.
Experience in people management and / or mentorship.
Should you feel you have the right skills / experience please apply and you will be contacted by James Evans from TRR