Our client, one of the leading banks in the region, is seeking a Chief Treasury Officer. The ideal candidate assumes a pivotal role in overseeing the organization\'s treasury functions. Responsibilities include managing liquidity, optimizing cash flow, mitigating financial risks, and ensuring compliance with regulatory requirements. He/She will orchestrate strategic initiatives to enhance the bank\'s financial position and maximize returns on investments while maintaining prudent risk management practices. Additionally, they will play a key role in capital allocation, funding strategies, and engaging with stakeholders to uphold the bank\'s financial stability and growth objectives.
Key Responsibilities:
Oversee and enhance the Bank\'s liquidity management within defined parameters, ensuring continuous funding to support business operations.
Develop and implement a Treasury strategy aligned with the Bank\'s overarching objectives, subject to approval.
Monitor and regulate the use of derivatives within the Bank\'s operations.
Monitor and manage market risk exposure within predetermined thresholds.
Generate revenue by effectively managing liquidity and market risk.
Participate actively in various committees as per the approved governance structure, contributing to the Bank\'s overall management.
Execute transactions involving bonds, foreign exchange, money market instruments, and derivatives with market experts.
Promote the sale of foreign exchange, derivatives, and other Treasury products to customers to enhance the Bank\'s profitability.
Provide guidance to internal stakeholders on liquidity consumption and risk management practices.
Offer Treasury support to affiliates and other entities within the Group when required.
Ensure compliance with internal standards, guidelines, and external regulations within the Treasury function.
Key Requirements:
25+ years\xe2\x80\x99 work experience in the banking sector and treasury.
In-depth knowledge of relevant banking regulations and compliance standards, regulatory frameworks governing treasury operations.
A deep understanding of financial markets, treasury operations, investment products, and risk management principles is essential. This includes proficiency in analysing market trends, interest rate dynamics, and currency fluctuations.
Proven experience in developing and executing treasury strategies aligned with the bank\'s overall business objectives.
Bachelor\'s or Master\'s degree in finance, economics, or a related field is required, along with relevant professional certifications
To learn more about this exciting opportunity, please apply directly to this advertisement or reach out to me for a confidential discussion. You can also email me at areej.santos@madisonpearl.com \xef\xbb\xbf *ONLY SHORTLISTED CANDIDATES WILL BE CONTACTED*
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