VP, Balance Sheet Management, Corporate Treasury, Group Finance
We are looking for a dynamic individual to join the Corporate Treasury. Corporate Treasury is a dedicated strategic management unit, within the CFO office. We ensure that capital and liquidity is allocated optimally across the Bank, hence enabling businesses, and promoting financial resilience through economic cycles. You will assess the impact of the external macroeconomic environment on the Bank and analyse data to recommend strategies to maximise balance sheet profitability. You will interact with key stakeholders across the Bank, including senior management. You will have the opportunities to develop new initiatives and participate in cross functional projects. This position is ideal for collaborative individuals who have strong ethics, attention to detail and can think strategi
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