One of the world's most recognised names in banking is building out their treasury function here in Dublin and this role has arisen that will provide the successful candidate with some unique experience.
This role will sit within the larger Treasury group, with specific responsibility for monitoring and managing capital ratios for the bank. You will optimise the use of capital resources, Risk Weighted Assets (RWAs) and leverage exposure to create sustainable value.
You will partner with Finance and Risk for stress testing and to align business needs to regulatory requirements as well as produce the Internal Capital Adequacy Assessment Plan (ICAAP). The role requires significant engagement with senior stakeholders across the business in order to align financial targets with business strategy/commercial goals.
The successful candidate will have a strong knowledge of the capital regulatory metric calculation methodologies and experience working with governance frameworks to manage capital and leverage management. You will have an excellent awareness of the regulatory landscape, the global structural reform agenda and capital and funding management.
Experience in treasury and/or capital management within financial services and a knowledge of/background in accounting for a trading/banking book will be required.
Internal Number: 4896778
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