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Head of Retail and Corporate Treasury Risk, London
Client:
Empirical Search
Location:
London, United Kingdom
Job Category:
Other
-
EU work permit required:
Yes
Job Reference:
2f6ceeac4c60
Job Views:
3
Posted:
14.07.2025
Expiry Date:
28.08.2025
Job Description:
Role Description
* Responsible for second line of defence oversight of treasury and traded risks, providing detailed review and challenge through understanding of the balance sheet, businesses, strategies, regulation, and risk drivers.
* Ensures Treasury Risk & Traded Risk management frameworks, controls, and governance are applied across an entity with a circa £350 billion balance sheet, aligning with Group risk strategy and regulatory expectations.
* Engages with senior leadership, global and regional risk teams, and regulators to ensure a cohesive approach to Traded Risk, Capital Risk, Liquidity Risk, IRRBB, Markets Treasury risk, FX, Stress Testing, Recovery & Resolution Planning, and Strategic Finance Risk, as outlined in the Risk Management Framework.
* Provides stewardship for Treasury Regulatory Reporting and Financial Risk Processes.
Role Requirements
* Post-qualified in Accountancy (ACA, ACCA, CIMA) or Treasury (CertBalm).
* Expertise in retail banking with sizable mortgage book experience.
* Experience in senior leadership roles with the ability to influence at the highest levels.
* Skilled in simplifying complex topics for senior stakeholders.
* Experience leading large teams and implementing strategic change.
* Technical expertise across treasury subjects: Liquidity, Capital, IRRBB, Recovery & Resolution, Valuation, Hedging, Hedge Accounting, Stress Testing.
* Good knowledge of derivative markets, Treasury products, and traded markets.
* Understanding of balance sheet, income statement dynamics, and liquidity issues.
* Ability to interpret regulatory documents and develop risk management processes.
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