Treasury Manager| Financial Services | Global brand


Salary : $90000 - $110000
Location : Sydney CBD
Post Date :
Employment Type : Permanent
Job Reference : 99338
Job Classification : Financial Services

Description :

The Company

The company is a global Retail and Corporate Bank

The Role

The role, reporting to the Head of Risk, will manage the bank's liquidity and market risks. Detailed responsibilities include:

  • Update and review liquidity and market risk policies with reference to regulatory requirements
  • Critically analyse and improve related risk procedures
  • Deliver accurate and timely reporting on risk oversight and regulatory submissions
  • Provide analysis into key drivers of changes in key risk areas
  • Identify and remediate any risk modelling issues, including changes in risk metric report design, model configuration and report process
  • Assist with the development and execution of balance sheet optimization strategies to improve risk-reward outcomes
  • Monitor treasury risk and escalate issues to management

Your Profile

To qualify, candidates must have the following experience:

  • At least 5 years of local treasury experience
  • Sound knowledge of regulations as pertaining to liquidity and market risks
  • Fluent in English and Mandarin
  • Sound understanding of risk-based financial modelling
  • Advanced excel, VBA or SQL

Apply Today

Please send your resume by clicking on the apply button or for further information, contact Paul Ridley in our Sydney office on 02-9240-0455.

Learn more about our Sydney recruitment services: http://www.roberthalf.com.au/recruitment-agency-sydney

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Sydney

MLC Centre, Level 45
19 Martin Place
2000 Sydney
Phone : 02 9241 6255

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