Not specified; not specified; flexible working opt...
Hybrid (at least half of the time in the office, with flexible working options available)
Deep experience in group treasury or second line risk function
Practical commercial approach to risk management
Demonstrated python and sql skills for data analysis
The Manager Balance Sheet Risk Management Oversight position at cb513.xyz seeks an experienced professional to oversee and challenge core Treasury functions, focusing on liquidity, funding, and risk management. The role emphasizes collaboration with senior stakeholders and offers flexibility in work arrangements while contributing to the transformation of the bank's operational model
Job Summary
The role involves providing independent challenge and oversight of core Treasury functions including funding, liquidity, and market risks.
You will play a key leadership role in promoting and strengthening Liquidity and Funding risk oversight across the Group.
The company offers flexible working options including changing start times, part-time arrangements, and job share opportunities.
Matching Summary
Match Score: 85
The Manager Balance Sheet Risk Management Oversight position at cb513.xyz seeks an experienced professional to oversee and challenge core Treasury functions, focusing on liquidity, funding, and risk management. The role emphasizes collaboration with senior stakeholders and offers flexibility in work arrangements while contributing to the transformation of the bank's operational model.
Salary
Not specified; Not specified; Flexible working options available
Skills & Requirements
Must-have
Deep experience in Group Treasury or second line risk function
Practical commercial approach to risk management
Demonstrated Python and SQL skills for data analysis
Nice-to-have
APS/APG 210 knowledge desirable
Ability to influence senior stakeholders
Experience with transfer pricing and market risks
Key Requirements
Deep relevant experience within Group Treasury or second line risk function
Confidence to provide constructive challenge to senior stakeholders
Qualification in risk management or related financial field (implied)