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VP of Capital Planning - SOCIETE GENERALE

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London

On-site

GBP 60,000 - 100,000

Full time

5 days ago
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Job summary

An established industry player is seeking a finance professional to join their dynamic team. This role involves steering financial strategies, managing liquidity and capital frameworks, and ensuring compliance with UK prudential regulations. The ideal candidate will have strong expertise in capital management and risk analysis, along with programming skills in VBA, R, and Python. This position offers impactful work within a collaborative environment that values innovation and respect. If you are passionate about finance and thrive in a diverse setting, this opportunity is perfect for you.

Qualifications

  • Expertise in capital management and prudential regulation.
  • Experience in finance or risk departments with UK regulations.

Responsibilities

  • Steering financial and budgetary strategy of the Group.
  • Managing liquidity and capital frameworks, including ILAAP and ICAAP.
  • Conducting stress testing and preparing for ALCO meetings.

Skills

Capital Management
Risk Analysis
Prudential Regulation
VBA Programming
R Programming
Python Programming

Education

Degree in Finance or Related Field

Job description

Job Description

Responsibilities

The Finance Division (DFIN) is in charge of:

  • Steering the financial and budgetary strategy of the Group, and its investment and development policy;
  • Measuring and analysing the profitability of the activities portfolio (clients, businesses, geographies) and the use of all resources (overheads, balance sheet, capital, liquidity, etc.);
  • Certifying Group accounts (accounting quality, valuation methods, orders options, etc., regardless of the production centres, vis-à-vis DFIN, external auditors, regulators, etc.;
  • Ensuring the necessary support and the right level of expertise on the subjects of accounting standards, audit.

The UK Treasury ALM department within DFIN manages GBIS UK entities and is responsible for:

  1. Treasury dealing activities:
    • Management of central bank and Nostro accounts for SG Paris, SG London Branch, and SGIL in multiple currencies;
    • Raising unsecured external funding through various instruments;
    • Refinancing internal business lines and subsidiaries;
    • Cash optimization via FX swaps;
    • Liquidity management and steering;
    • Management of HQLA liquidity buffer and intraday liquidity;
    • Market risk management;
    • Access to Sterling Monetary Framework and communication with Bank of England;
    • Hedging structural risks;
    • Backup management for EUR and USD activities.
  2. ALM activities:
    • Management of stress testing frameworks and policies;
    • Preparation for ALCO meetings;
    • Management of liquidity and capital frameworks, including ILAAP, LCP, ICAAP, and recovery plans;
    • Coordination with regulators, boards, and projects affecting liquidity and capital.

This role reports to the SG International Ltd Capital Stress Testing Expert.

Profile required

The candidate should be a prudential regulation or risk professional with expertise in capital management, regulation, and risk analysis, with experience in finance or risk departments, UK prudential requirements, and programming skills in VBA, R, and Python.

Why join us

We offer impactful work, visibility, a collaborative environment, and a culture of innovation, community, and respect.

Business insight

If you meet the requirements, apply through the SG Resourcing Team. We value diversity and are committed to equal opportunity employment.

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