Strategic Treasury & Balance Sheet Leader

Confidential

Abu Dhabi Emirate

On-site

AED 300,000 - 520,000

Full time

14 days+
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Job summary

Confidential, UAE, seeks a Head of Balance Sheet Management to lead the bank's market-facing treasury desk, oversee funding execution, liquidity management, FX and rate hedging, and client treasury activities.

You will work with Treasury, Finance, Risk, and ALCO stakeholders to deploy capital, manage liquidity and market risk, and build a high-performing treasury function from day one.

Qualifications

  • 12+ years of treasury markets experience with leadership of a treasury dealing desk
  • Deep expertise across money market funding, liquidity management, FX hedging, interest rate risk management, and HQLA portfolios
  • Proven track record building and managing treasury desks, dealing mandates, and limit frameworks in regulated environments
  • Strong knowledge of regulatory liquidity requirements and Basel liquidity standards
  • Experience leveraging automation, advanced analytics, or AI-enabled treasury management capabilities
  • Professional qualifications such as ACT, AMCT, CFA, ACI, or similar treasury certifications are desirable

Responsibilities

  • Lead the money market and funding desk, ensuring effective funding execution and liquidity management across currencies and tenors
  • Manage FX and interest rate hedging activities for the balance sheet and corporate clients
  • Own the treasury desk P&L and performance against approved targets
  • Manage the HQLA portfolio and liquidity buffer, ensuring regulatory compliance and internal targets
  • Provide market intelligence, pricing insights, and treasury recommendations to senior management and ALCO
  • Build and develop the treasury dealing desk with automation and AI-enabled capabilities

Skills

Treasury leadership
Funding & liquidity management
FX hedging
HQLA management
Automation/AI in treasury
Regulatory knowledge Basel/CB UAE

Job description

Confidential, UAE, seeks a Head of Balance Sheet Management to lead the bank's market-facing treasury desk, oversee funding execution, liquidity management, FX and rate hedging, and client treasury activities.

You will work with Treasury, Finance, Risk, and ALCO stakeholders to deploy capital, manage liquidity and market risk, and build a high-performing treasury function from day one.

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