Our client is a leading financial services company with offices around the world. They are looking for a VP Treasury.
Responsibilities for the VP Treasury role are:
o Developing and implementing regional and global liquidity risk and funding policies
o Sizing and managing excess liquidity pool and cash funding requirements
o Managing various secured and unsecured funding programs
o Monitoring liquidity risks relating to the firm’s business activities, including trading, financing and operational activities
o Partnering with other areas of the firm to manage and optimise firm / customer inventory and derivative collateral
o Working closely with Securities and Investment Banking Divisions to evaluate complex structured transactions or new businesses; advising senior management of financial risks and other implications
o Maintaining local relationships with regulators, investors and major trading counterparties
You may have:
o Experience in a relevant field e.g. Corporate Finance, Capital Markets, Risk Management, Funding
o Ability to analyse, evaluate and form independent judgments
o Good commercial perspective and ability to manage small project teams
o Ability to work on multiple tasks and cross-divisional initiatives
If you would like to apply for this Treasury Planning and Analysis - VP role or find out more, please apply or contact Matt Mattheou at Robert Walters on 0207 509 8419 or email matt.mattheou@robertwalters.com quoting the Job Reference MMQ-1049850.
Where any specific qualification is mentioned, all equivalent overseas qualifications are acceptable