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Senior Manager Treasury Finance Financial Planning & Analysis (FP&A) - Based in UAE or Singapore

ACCA Careers

United Arab Emirates

On-site

AED 300,000 - 400,000

Full time

Yesterday
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Job summary

A leading international bank seeks a seasoned finance professional as a Treasury Financial Planning & Analysis Lead. This role involves strategic financial evaluation, forecasting, and performance advisory. The ideal candidate will manage key FP&A projects and collaborate with various teams to drive financial optimization and best practices.

Qualifications

  • 7+ years of experience in finance, preferably in a global bank.
  • Experience in treasury or FP&A roles is advantageous.

Responsibilities

  • Provide Treasury P&L analysis and support in financial resource optimization.
  • Lead FP&A processes such as outlooks, target setting, and corporate planning.

Skills

Communication
Stakeholder Management
Analytical Skills

Education

Bachelor's degree in finance, accounting, or related
CA, CFA preferred

Tools

SQL
Visualization Tools

Job description

Job Summary

We are seeking a seasoned finance professional to join our team as a Treasury Financial Planning & Analysis (FP&A) Lead. The role involves providing strategic financial evaluation and support for Treasury Profit & Loss (P&L), forecasting, and planning activities. Key responsibilities include performance advisory to Transaction Monitoring and Client Technology Teams, contributing to financial resource optimization, Forex (FX) hedging, and driving initiatives to improve Return on Tangible Equity (RoTE). The successful candidate will manage key FP&A projects, collaborate on modeling and forecasting solutions, and support financial planning across cluster markets.

Key Responsibilities
  1. Performance Evaluation and Advisory: Provide Treasury P&L analysis and support in financial resource optimization (structural hedging, credit insurance, FX hedging).
  2. Financial Insights and Projects: Deliver impactful insights for decision-making and support projects to enhance RoTE.
  3. Treasury Planning and Forecasting: Lead FP&A processes such as outlooks, target setting, and corporate planning (income, balance sheet, RWA).
  4. Collaboration: Work with modeling teams to implement treasury income forecasting and embed Central & Others (C&O) Treasury allocations.
  5. Stakeholder Engagement: Build relationships with finance stakeholders, drive best practices, and represent FP&A in cross-functional groups.
Regulatory & Business Conduct
  • Display exemplary conduct and uphold the Group's Values and Code of Conduct.
  • Ensure compliance with laws, regulations, and policies, and effectively manage risks and conduct issues.
Key Stakeholders
  • Cluster CFOs, Head of Management Reporting, Group FP&A, and other senior finance leaders in Africa, Middle East, and Pakistan.
Other Responsibilities
  • Embed the Group's values and perform other duties as assigned.
Skills and Experience
  • Knowledge of financial markets, products, and accounting (including IFRS 9).
  • Strong communication, stakeholder management, and analytical skills.
  • Experience with balance sheet and P&L reporting.
Ideal Candidate Profile
  • Bachelor's degree in finance, accounting, or related; CA, CFA preferred.
  • 7+ years of experience in finance, preferably in a global bank.
  • Experience in treasury or FP&A roles is advantageous.
  • Strong problem-solving and data management skills, including SQL or visualization tools is a plus.
About Standard Chartered

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