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You are here: Europe > Spain > Banking, Insurance, Finance
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Treasury Manager
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Status:
Full Time
Salary:
Job Location: Europe > Spain > Gibraltar
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Job Description
Our client is searching for a Treasury manager to be part of a new Gibraltar-based bank specialising in asset based lending to companies operating in the property sector in the UK and Ireland. It will also offer fixed term deposits and other services to ultra high net worth individuals, institutions and financial intermediaries world-wide. They operate an open, non-hierarchical structure in which employees, even if fulfilling a specialist role, are also able and encouraged to play a full team role in the overall management, control and operation of the Bank.
Purpose of the Role
To develop and manage the treasury function for the Bank
To be responsible for risk management of the treasury function
To advise and guide other members of staff and directors on treasury issues, and in particular to report to, and advise, the Assets and Liabilities Committee (ALCO) on treasury matters
To ensure compliance at all times with internal and external guidelines, policies and obligations, notably internal guidelines for risk set by ALCO, and regulatory requirements in respect of liquidity ratios, large exposures etc.
To be the primary source of training and advice to all King & Co. staff on treasury matters
Core Responsibilities of the Role
i) Risk Management (70%)
Own risk management and control processes and procedures across all treasury related activities of the business
Engage with all bank staff at all levels on treasury risk and compliance to ensure adherence at all times to international, local, internal and external requirements
Control and manage treasury operational risk, ensuring adherence to King & Co. governance and risk management guidelines
Control and manage reputational risk and in particular ensure adherence to King & Co. procedures covering new client acceptance/KYC/CFT/anti-money-laundering
Participate in the credit approval process to ensure that all potential new lendings are within laid down risk parameters for exposure, and in particular that the lending solus and in aggregate with other exposures is within bank and regulatory exposure limits
Embedding and maintaining a training and competency programme for all staff involved in treasury activities: provide coaching and motivation where required.
ii) Sales and Business Management (30%)
In conjunction with the Executive Director (ED):-
Agree and drive business results and financial targets in respect of income from treasury activities for the Bank
Develop and implement a coherent sales plan and business development strategy
Proactive sales of treasury products to clients including provision of ideas, advice, market information and product knowledge
Proactively build relationships with key stakeholders in the various financial market industries
Build strong relationships with the local regulatory body (FSC) and actively participate in industry bodies/sub-committees/lobbying groups (e.g. Gibraltar Bankers Association) on treasury related issues
Work closely with the ED on the structuring of complex deals
Work closely with the ED, CEO and Board to ensure that the suite of products and propositions available from the bank continue to meet the needs of the market
As a member of a very small team, participate actively in other aspects of the management, control and operation of the Bank as required
Requirements for the Role
Must satisfy the requirements of the local regulator in terms of competency, qualifications and banking treasury experience
In depth understanding of corporate business and treasury operations and products
Ability to communicate effectively with both external and internal clients/stakeholders
Proven ability to manage a cover operation and associated risk controls
Proven ability to deliver excellent results
Professional and Technical Experience and Qualifications
Local/UK and/or other recognised professional qualification in treasury management, and/or appropriate proven experience
Strong and extensive treasury and banking product knowledge
Expert understanding of the regulatory and legislative environment in Gibraltar and a strong appreciation of the international treasury environment (in particular the EU and USA)
Strong external focus and market awareness and understanding
Other Requirements of the Role
IT ability to understand and operate basic treasury/banking software and ancillary IT support, and to recommend improvements
Fluent in English. Fluency in Spanish and other languages an advantage
Maintain up to date knowledge and training for regulatory requirements of the role notably AML, Sanctions and Data Protection
Salary dependant on experience
Qualifications/Skills
Required
.............
Contact information
Joe
(Consultant)
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Please
note: Applications will not be considered from those candidates who are
not
entitled to work within the UK or the country of the advertised vacancy.
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