Treasury Manager

Albany Beck

Greater London

On-site

GBP 80,000 - 120,000

Full time

6 days ago
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Job summary

Albany Beck is seeking a mid-level Treasury Manager to support the development of a new regulated banking entity as part of a major transformation programme. You will bring strong Corporate Treasury knowledge and assist with liquidity, funding, ALM, capital, and regulatory engagements.

The role requires extensive Treasury governance experience, regulatory interaction with authorities, and collaboration across Finance, Risk and Regulatory Reporting teams in a complex environment.

Qualifications

  • Strong experience working within a bank Corporate Treasury function.
  • Good knowledge of liquidity and funding.
  • Experience across ALM and balance sheet management.
  • Understanding of capital and liquidity requirements.
  • Strong knowledge of Treasury governance, controls and policies.
  • Experience supporting regulatory change or regulatory requests.
  • Ability to work across Treasury, Finance, Risk and Regulatory Reporting teams.
  • Comfortable working in a complex transformation environment.
  • Previous involvement in a banking licence or Credit Institution licence application.
  • Experience helping establish a new bank, legal entity, branch or subsidiary.
  • Experience dealing directly with regulators.
  • Knowledge of LCR, NSFR and ILAAP.
  • Experience with Treasury operating model design.
  • Exposure to European banking regulation.
  • Capital Markets or investment banking experience.

Responsibilities

  • Support the Treasury workstream as part of a major banking transformation programme.
  • Provide Treasury expertise to support the Credit Institution licence application.
  • Assist with responses to regulator requests and Treasury-related information requirements.
  • Support the development of Treasury policies, frameworks, controls and governance.
  • Contribute to the design and build-out of the Treasury operating model.
  • Support activity across liquidity, funding, ALM, balance sheet management and capital.
  • Work closely with Finance, Risk, Regulatory Reporting, Tax and wider programme teams.
  • Help identify Treasury risks, gaps and dependencies.
  • Support preparation of documentation for regulatory engagement and senior governance forums.
  • Ensure Treasury requirements are aligned with the wider regulatory and programme objectives.

Skills

Corporate Treasury
Liquidity & Funding
ALM
Balance Sheet Management
Treasury Governance
Regulatory Reporting
Cross-functional Collaboration
Regulatory Change
Regulator Engagement
Treasury Operating Model
European Banking Regulation

Job description

Treasury Manager - Regulatory & Licensing

About Albany Beck

Albany Beck is an award-winning Financial Services consultancy specialising in Technology, Risk & Compliance, Cyber Security, Change & Transformation, Operations and Data. We partner with leading financial institutions across the UK and Ireland, providing high-quality consultants to support complex transformation, regulatory and strategic change programmes.

Client Deployment Role Description

Albany Beck is supporting a major banking transformation programme and is looking for a mid-level Treasury Manager to support the development of a new regulated banking entity.

The successful candidate will bring strong Corporate Treasury knowledge and support activity relating to the Credit Institution licence application, regulatory requests and the wider build-out of the Treasury function.

This role would suit someone with hands-on experience working within a bank Treasury function, with knowledge across liquidity, funding, balance sheet management, ALM, capital and Treasury governance.

Key Responsibilities
  • Support the Treasury workstream as part of a major banking transformation programme.
  • Provide Treasury expertise to support the Credit Institution licence application.
  • Assist with responses to regulator requests and Treasury-related information requirements.
  • Support the development of Treasury policies, frameworks, controls and governance.
  • Contribute to the design and build-out of the Treasury operating model.
  • Support activity across liquidity, funding, ALM, balance sheet management and capital.
  • Work closely with Finance, Risk, Regulatory Reporting, Tax and wider programme teams.
  • Help identify Treasury risks, gaps and dependencies.
  • Support preparation of documentation for regulatory engagement and senior governance forums.
  • Ensure Treasury requirements are aligned with the wider regulatory and programme objectives.
Key Skills & Experience
  • Strong experience working within a bank Corporate Treasury function.
  • Good knowledge of liquidity and funding.
  • Experience across ALM and balance sheet management.
  • Understanding of capital and liquidity requirements.
  • Strong knowledge of Treasury governance, controls and policies.
  • Experience supporting regulatory change or regulatory requests.
  • Ability to work across Treasury, Finance, Risk and Regulatory Reporting teams.
  • Comfortable working in a complex transformation environment.
  • Previous involvement in a banking licence or Credit Institution licence application.
  • Experience helping establish a new bank, legal entity, branch or subsidiary.
  • Experience dealing directly with regulators.
  • Knowledge of LCR, NSFR and ILAAP.
  • Experience with Treasury operating model design.
  • Exposure to European banking regulation.
  • Capital Markets or investment banking experience.
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