Publier un stage
fr
Détails de l'offre
Emploi > Emplois > Finance/Comptabilité > Royaume-Uni > Londres > Détails de l'offre 

Treasury Manager (Capital)

Entreprise non montrée
Royaume-Uni  Londres, Royaume-Uni
Finance/Comptabilité, Anglais
11
Visites
0
Candidats

Description du poste:

People deserve more from their money. More visibility, more control, more freedom. And since 2015, (COMPANY NAME) has been on a mission to deliver just that. With an arsenal of awesome products that span spending, saving, travel, transfers, investing, exchanging and more, we've helped 40+ million customers get more from their money. And we're not done yet.
As we continue our lightning-fast growth,‌ two things are essential to continuing our success: our people and our culture. We've been officially certified as a Great Place to Work™ in recognition of our outstanding employee experience! So far, we have 10,000+ people working around the world, from our great offices or remotely, on our mission. And we're looking for more. We want brilliant people that love building great products, love redefining success, and love turning the complexity of a chaotic world into the simplicity of a beautiful solution.

About the role

The Finance team is an integral part of any business. At (COMPANY NAME), we take that one step further. Our global financial super app would be lost without them.
They're more than just an important part of the business - they're our backbone ⭐
Internal accounting? That's a good start. Supporting all areas of the company and assessing financial implications from various key strategic decisions and growth opportunities - this is what our financial people do all day long.
We're looking for someone driven and enthusiastic to join our Group Treasury function. You'll be supporting key Treasury activities, specifically focussing on capital, as we expand our product services and presence. As part of the Treasury, you'll be responsible for assessing the capital and liquidity position of the Group and our subsidiaries, as well as managing market risk profiles we're exposed to, like FX, interest rates, and credit risks 📈 You'll also own various Treasury procedures and work with the technology teams to make any necessary enhancements to the reporting process.
Are you the treasure we've been looking for? 👀

What you'll be doing

* Understanding and interpreting regulatory policy in relation to legal entities, products, and services
* Enhancing, and building out capital management and allocation frameworks
* Supporting Group capital plans and reviewing subsidiary plans
* Maintaining up-to date knowledge and understanding of capital regulation requirements and risk management

What you'll need

* Treasury management experience, with a keen focus on capital, working in a financial institution or FinTech firm
* Solid understanding of European banking regulations (for example, CRR/Delegated Act, etc.)
* A track record of contributing analysis and explaining decisions to senior management
* Problem-solving skills - ability to break down complex issues into their component parts, identifying the root cause and create elegant solutions
* Excellent understanding of Treasury concepts

Building a global financial super app isn't enough. Our Revoluters are a priority, and that's why in 2021 we launched our inaugural D&I Framework, designed to help us thrive and grow everyday. We're not just doing this because it's the right thing to do. We're doing it because we know that seeking out diverse talent and creating an inclusive workplace is the way to create exceptional, innovative products and services for our customers. That's why we encourage applications from people with diverse backgrounds and experiences to join this multicultural, hard-working team.

Refer to our Data Privacy Statement for Candidates for details on our data handling practices during your application

Origine: Site web de l'entreprise
Publié: 30 Avr 2024
Secteur: Banque / Finance
Langues: Anglais
115.256 emplois et stages
dans 153 pays
S'inscrire