NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
NatWest Group
A leading financial institution in the UK is seeking a Treasury Finance Manager to enhance liquidity reporting and support financial strategy. In this role, you will leverage your treasury or accountancy qualifications to deliver quality reporting and maintain robust controls. This position offers exposure to senior stakeholders and opportunities for career advancement in a dynamic banking environment.
Join us as a Treasury Finance Manager
As Treasury Finance Manager, you’ll be involved in forecasting, budget setting and stress testing for the bank’s key treasury related metrics. You will also help in shaping the wider data strategy of the team and be involved in streamlining and enhancing processes and controls.
Through the course of your work, you’ll be:
Delivering timely and accurate liquidity coverage indicators to senior stakeholders, enabling informed decision-making and proactive risk management, whilst discharging regulatory obligations
Producing and presenting monthly and quarterly liquidity and funding reports for internal governance forums and external regulators, ensuring alignment with regulatory expectations and internal standards
Applying technical expertise to support liquidity forecasting, budget planning, and stress testing activities, ensuring funding strategies are resilient, efficient, and aligned with business objectives
Maintaining a robust control environment that adheres to NWG frameworks, embedding best practices in governance and operational risk management
Contributing to treasury transformation initiatives, business change programmes, and continuous improvement efforts, enhancing processes, systems, and reporting capabilities across the team
You’ll have knowledge of a banking or treasury environment and ideally a treasury or accountancy qualification such as ACCA, ACA, ACT or CIMA. We’ll also need you to have experience of working with and transforming large data sets and flows.
You'll also have experience of financial or management reporting in a financial services environment.
On top of this, you’ll demonstrate:
* The salary benchmark is based on the target salaries of market leaders in their relevant sectors. It is intended to serve as a guide to help Premium Members assess open positions and to help in salary negotiations. The salary benchmark is not provided directly by the company, which could be significantly higher or lower.