- Attractive Salary
- Hybrid working
- Attractive benefits
Our client, a banking institution, is looking to hire a Head of Finance & Treasury to join their team.
Responsibilities - Lead the Bank's finance and treasury functions, developing financial strategy and providing strategic advice to senior leadership on budgeting, forecasting, capital planning, and business performance.
- Oversee treasury operations, including liquidity management, funding strategies, cash flow forecasting, balance sheet optimisation, and compliance with regulatory liquidity requirements.
- Ensure accurate financial reporting, strong financial controls, IFRS compliance, and effective management of external audits and regulatory reporting.
- Manage the Bank's capital position and collaborate with risk committees to oversee financial risks, balance sheet management, and risk appetite frameworks.
- Lead, mentor, and develop the Finance and Treasury team while driving operational excellence, process improvements, automation, and finance transformation initiatives.
Requirements - Bachelor's degree in Finance, Accounting, Economics, or a related field, with a professional qualification such as ACCA, ACA, CFA, or equivalent (Master's preferred).
- 10–15 years' experience in banking or financial services, including senior finance and treasury leadership roles.
- Strong expertise in treasury management, liquidity, capital management, financial control, and regulatory reporting.
- Excellent leadership, strategic thinking, analytical, and financial modelling skills.
- Strong stakeholder management, communication, and decision-making abilities.
- High integrity with the ability to operate effectively in a regulated financial environment.