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As a Treasury Strategy & Policy Manager, you’ll be developing, agreeing and communicating policies and processes in respect of capital, or liquidity & funding. We’ll look to you to assist with recommending appropriate associated risk appetites to legal entity risk committees and boards, while also setting appropriate risk measures and supporting the limits framework.
You’ll also be:
To succeed in this role, you’ll need a strong understanding of banking regulatory frameworks, or a demonstrable ability to quickly develop this, and a commercial mindset is also advantageous. The role holder will also require an ability to interpret, transpose and communicate this understanding to an array of stakeholders across various contexts. You’ll therefore also need strong interpersonal and communication skills, with the ability to work well across different teams and levels of seniority.
Previous experience of Balance Sheet Management (Capital, Liquidity, Funding, FTP, ALM) or treasury management would be advantageous.
In addition, you’ll need:
At NatWest Markets we put our customers at the centre of the way we do business, so working with us is easy and rewarding.
We are organised around providing the right solution to meet our customers’ needs. We anticipate emerging issues and provide depth of insight and innovative ideas. Genuinely integrated, cross-product teams are enabled to provide holistic, customer-centric solutions while our automated execution provides a seamless customer experience. Our ability to access global markets benefits all of our customers.
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