Our client is looking for you to drive initiatives focused on delivering key capital strategies. You will be part of a high performing team with excellent senior exposure across the organisation.
In this role you will support all aspects of the Group Treasury function, in particular changes to regulations and capital projections.
Key responsibilities include:
Ownership and delivery of key capital related treasury initiatives
Provision of insights regarding capital impacts and regulatory changes
Strategic analysis and detailed modelling on capital positioning and structure
Ongoing development of key internal and external relationships
Develop Insights that assist in high level decision making
Focus on regulatory reporting and conduct risk across Group Treasury, responding to market and business changes that will impact the function
Ideally previous experience within Capital Management / Treasury /Financial Risk Management
Excellent academic background ideally from a Quantitative discipline (Maths, Physics, Engineering, Actuarial, Accounting)
Analytically minded with the ability to solve complex problems
Possess strong commercial awareness and the ability to work in a dynamic environment
Strong communication and stakeholder engagement skills
Exposure to PowerBI and Alteryx would be beneficial
For a confidential discussion regarding this or any other job opportunities across Accounting and Finance please send a CV to firstname.lastname@example.org