Job Description
Join a dynamic team focused on building a European Union Credit Institution in the EMEA region, where you will leverage your expertise in finance and prudential regulation at a senior level.
Responsibilities
- Provide expert guidance on finance and prudential regulation.
- Utilise general treasury knowledge to support corporate treasury functions.
- Engage in capital planning and management for effective recovery and resolution strategies.
- Contribute to regulatory reporting in compliance with ECB and EBA standards.
- Assist in the management of liquidity, capital, and cash operations.
Essential Skills
- Proficiency in corporate treasury functions.
- Experience with liquidity coverage ratio (LCR) and net stable funding ratio (NSFR).
- Knowledge of asset and liability management (ALM) and capital markets.
- Expertise in capital management and regulatory reporting.
- Familiarity with ICAAP, ILAAP, and capital planning.
Additional Skills & Qualifications
- Understanding of European Central Bank (ECB) and European Banking Authority (EBA) regulations.
- Competence in treasury management and cash operations.
Why Work Here?
Become part of a forward-thinking organisation that values expertise and innovation, offering opportunities for professional growth and development in a supportive environment.
Work Environment
Work within a collaborative setting that fosters teamwork and knowledge sharing, equipped with the latest technologies to support financial operations and regulatory compliance.
Dress code is business casual, ensuring comfort and professionalism.