Senior Treasury Manager - Liquidy and BS Manager-

Job description

My client within the Banking area currently have a requirement for a Senior Treasury manager who must be coming from Banking or the wider financial services sector with strong Balance sheet management, liquidity, Treasury and cash management background

• managing the key resources of capital, balance sheet, funding and liquidity
• manage capital risks, and manages capital ratios
• Planning, preparation and supporting the production of the capital plan, and ensure balance sheet planning and forecasts are prepared
• Work as part of a team to build and communicate targets for Risk Weighted Assets (RWAs) and leverage balance sheet
• Support the development of and planning for the regulatory change
• Assist with the coordination and development of capital ratio targets
• Work across Treasury to support the relationship with regulators on all items related to capital
• Ensure that all activities and duties are carried out in full compliance with regulatory requirements,

• Qualified Accountant with a strong Treasury Background 8 years or more – strong hedging, balance sheet management, liquidity and capital management
• Strong understanding of the balance sheet structure and risk drivers by business
• Strong awareness of the regulatory landscape as it pertains to financial risk management
• Solid relevant experience in Treasury Capital and Leverage Management

If you match the above requirements get in touch with your updated cv to laura in Sigmar Accountancy 01 474 4677,

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