Activez les alertes d’offres d’emploi par e-mail !

Head of Treasury - FinTech - France - TWE42336 - twentyAI

twentyAI

Paris

Sur place

EUR 100 000 - 125 000

Plein temps

Il y a 30+ jours

Résumé du poste

A global fintech company, based in Paris, is seeking an interim Head of Treasury to establish and lead the Treasury function. This role involves designing ALM frameworks, managing various financial risks, and ensuring compliance with regulations. Candidates should have strong Treasury experience, be fluent in French, and possess excellent analytical skills. The engagement is for an initial 4-6 month period with potential for extension or permanent placement.

Qualifications

  • Experience in Treasury or ALM within a regulated European bank.
  • Proficient in balance sheet risk management and regulatory frameworks.
  • Ability to manage stakeholder relationships effectively.
  • Fluency in French required.
  • Desirable: SQL skills for data validation.
  • Experience drafting regulatory documentation.

Responsabilités

  • Build ALM and liquidity management frameworks.
  • Manage interest rate, credit spread, and FX risk.
  • Lead ICAAP / ILAAP processes and stress testing.
  • Deliver ALCO reporting and support regulatory submissions.
  • Align treasury operations with relevant standards.

Connaissances

Strong experience in Treasury or ALM
Deep technical understanding of balance sheet risk
Highly analytical
Strong stakeholder management skills
Fluent in French
SQL skills
Description du poste

twentyAI are partnered with a Global Fintech who are looking for an interim Head of Treasury to establish and lead the Treasury function in France. This is a unique opportunity to join a high-growth, tech-driven financial institution as it scales across Europe. This engagement will be on an initial 4-6 month assignment with the view to extend or go permanent.

You'll design and implement robust ALM and liquidity risk frameworks, ensure regulatory compliance, and drive strategic financial initiatives in collaboration with global teams.

Key Responsibilities

  • Build ALM and liquidity management frameworks to optimise balance sheet structure
  • Manage interest rate, credit spread, and FX risk
  • Lead ICAAP / ILAAP processes, FTP policy implementation, and stress testing
  • Deliver ALCO reporting and support regulatory submissions
  • Align treasury operations with EBA / ECB, Basel III, CRR / CRD, IRRBB, and CSRBB standards

Your Profile

  • Strong experience in Treasury or ALM within a regulated European bank (ECB oversight a plus)
  • Deep technical understanding of balance sheet risk and regulatory frameworks
  • Highly analytical with strong stakeholder management skills
  • Fluent in French
  • SQL skills for data validation and analysis is desirable
  • Experience drafting documentation in a regulatory context
Obtenez votre examen gratuit et confidentiel de votre CV.
ou faites glisser et déposez un fichier PDF, DOC, DOCX, ODT ou PAGES jusqu’à 5 Mo.